Trades & picks

Every trade I take — short term and long term, posted before I act.

Members see three streams inside Discord: intraday trades on futures, indices and CFDs, short-term positions, and the long-term stocks I buy, sell or short. Risk always defined, results never dressed up afterwards.

Index signals

Futures, indices and CFDs — Nasdaq and DAX first. Pre-market levels, the bias for the session and the intraday trades I actually take.

  • Pre-market levels
  • Bias and invalidation
  • Entries, stops and targets

Short-term trades

Swing setups I take around the core book. Posted before they are filled, never after, with the invalidation level attached.

  • Entry, stop and targets
  • Posted in real time
  • Weekly review of every result

Long-term investments

The stocks I am accumulating for years, not weeks — with the research, the sizing and the exact conditions that would make me sell.

  • Written one-page thesis
  • Position size and average price
  • Sell rules stated up front

Recent calls

A sample of what members saw. Historical results, never a promise of future performance.

Index signal

US100

US Tech 100 · Nasdaq

Opening range breakout after a clean pre-market level. Posted in Discord with entry, stop and target before the US open.

Long 20,410 · stop 20,352Target hit · +1.4%

Index signal

GER40

Germany 40 · DAX

Failed breakout reversal in the morning session, one trade, one risk unit, done before lunch.

Short 18,240 · stop 18,296Closed +0.9%

Long-term

ASML

ASML Holding

Monopoly on EUV lithography with a decade-long order book. Bought into the de-rating and sized as a core position.

Entry €612 · 7.5% of bookHolding · thesis intact

Long-term

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Members only

Today's levels, the open trades and the written thesis for every position sit inside the member area and Discord.

Unlocked after purchaseLocked

How it looks in Discord

2,400+ members, one weekly live session, and trades you can follow in real time. Included in the course — there is no separate subscription.

Get access€3,000

index-signals

US100 long 20,410, stop 20,352, first target 20,470. Risk 1%.

dax-morning

GER40 rejected 18,240 — short taken, out before lunch, +0.9%.

funded-accounts

Daily loss limit hit at -1.5%. Platform closed. That's the job.

questions

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