MODUL 5: 24 de reparatii pe cele doua strategii, dupa verificare

Opt erau blocante, adica un cititor ar fi executat gresit pe cont:

- 56% era legat de o intrare la 133 care da de fapt 35,3%; cifra se propaga in
  dimensionarea pozitiei. Acum spune ca 56% e rostit separat si ca raportul nu
  se verifica.
- "2/3 taie jumatate din risc" era fals (29,3% vs 35,3%).
- definitia lui buy doji se contrazicea cu regula de 4 luni din acelasi
  document.
- diagrama de trail arata stopul deasupra pretului: liniile traversau tot
  graficul, deci in stanga stateau peste candele. Acum fiecare porneste din
  swing low-ul care o declanseaza, cu cele patru swing low-uri marcate.
- linia gatului era data ca "media celor doua varfuri", ceea ce nu reproduce
  63.00 pe propriul desen; e din interiorul gatului.
- singura regula mecanica de "nu intra" nu era desenata cu mecanismul ei:
  panoul de volum avea bare egale de la o baza, in loc de histograma cu semn.
- "SL minim 54.17" se citea invers decat intelege textul: e pretul cel mai
  sus permis, nu stopul cel mai stramt.
- lectura "TP2 vine inaintea lui TP1" era prezentata ca geometrie in doua
  diagrame, desi fraza-sursa e neinteligibila si sursa sprijina la fel de bine
  varianta in care se recalculeaza si TP si SL. Acum e marcata ca lectura
  chiar acolo unde e folosita, cu varianta alternativa alaturi.

svg_candles are trei adaugiri optionale (Level.i0, Level.label_dy,
Chart.vol_zero) cerute de reparatiile de mai sus; selftest-ul trece si
diagramele existente nu se schimba daca nu sunt regenerate.

Co-Authored-By: Claude Opus 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01ThN7ixZrowca8aTGrK1MUJ
This commit is contained in:
Claude Agent
2026-10-02 02:35:51 +00:00
parent 0dd358802d
commit c198cd0a7b
7 changed files with 1184 additions and 945 deletions

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@@ -38,7 +38,8 @@
monthly</strong>, după un downtrend de 5-8 candele, de preferință dintr-un pivot sau
suport <strong>quarterly</strong>. Intri în <strong>trei tranșe</strong> cu limit order (una la close-ul
candelei de trigger, două mai jos, în pullback), stopul stă la <strong>2/3 din
înălțimea doji-ului</strong>, prima țintă e la <strong>distanța stopului</strong> (1R), restul
înălțimea doji-ului</strong>, prima țintă e la <strong>distanța stopului</strong> (1R), a doua e
același 1R recalculat pe <strong>prețul mediu</strong> după ce se umplu tranșele, iar restul
poziției merge pe <strong>trail după swing low-uri</strong>. E <strong>doar long</strong> — cursul spune
explicit să nu faci short cu ea. Ținta vine în <strong>5-10 perioade</strong>: 5-10
săptămâni dacă ai intrat pe weekly, 5-10 luni dacă ai intrat pe monthly.</p>
@@ -47,14 +48,18 @@ pentru că vine de la […] instituțional […] vine de la corecție […] I-ul
vine de la investiții și S-ul de la swing" — autorul însuși ezită pe litere, și
spune „nici mai știu exact de ce am numit-o" așa.</p>
<p>Avertismentul pe care îl repetă toată lecția: <strong>nu merg toate</strong>. Pe weekly și
monthly stopurile sunt uriașe în procente (la NVDA, 56% distanță), iar un semnal
monthly stopurile sunt uriașe în procente (pe NVDA rostește 56%, deși cifra nu
se verifică pe nivelurile pe care le dă — vezi pasul 3), iar un semnal
ratat urmat de al doilea care merge e situația normală, nu excepția.</p>
<h2 id="pentru-cine-e-si-pentru-cine-nu">Pentru cine e și pentru cine nu</h2>
<p>E strategie de <strong>swing trading pe perioadă lungă și de investiție</strong> în companii
individuale. Nu se poate face day trading sau scalping cu ea, și nu merge pe
conturi de prop cu reguli de drawdown zilnic: dacă ai intrat pe weekly stai
minim 3 săptămâni, iar dacă ai intrat pe monthly „poți să stai și 2 ani, 3 ani
în tranzacție". Cursul e categoric: „dacă vrei să dai turnuri în trei zile,
câteva săptămâni — fraza-sursă e neinteligibilă aici („3 din păie de stat"),
deci „minim 3 săptămâni" e lectura mea, sprijinită de exemplul de dinainte, cu
„16% în una, două, trei, patru, cinci săptămâni" —, iar dacă ai intrat pe
monthly „poți să stai și 2 ani, 3 ani în tranzacție". Partea cu monthly e
rostită limpede; cea cu weekly nu. Cursul e categoric: „dacă vrei să dai turnuri în trei zile,
strategia asta nu merge".</p>
<p>Ce nu-ți trebuie: analiză fundamentală. „Nu e nevoie să știi o iotă de
fundamental […] doar tehnic poți tranzacționa cu strategia asta." Dacă știi
@@ -67,9 +72,12 @@ să poți citi pașii fără să te oprești.</p>
minus low) și fitile în ambele părți: deschiderea și închiderea sunt
aproximativ la același preț. Pe weekly sau monthly, o astfel de candelă poate
avea 28 de dolari înălțime, cum are cea de la NVDA mai jos.</li>
<li><strong>Buy doji</strong> — nu doji-ul în sine, ci candela <strong>următoare</strong>, care se închide
<strong>deasupra high-ului doji-ului</strong>. Doji-ul e setup-ul, închiderea peste el e
trigger-ul. „Cum să ai buy doji fără doji înainte?"</li>
<li><strong>Buy doji</strong> — nu doji-ul în sine, ci <strong>o candelă ulterioară, în cel mult 4
perioade</strong>, care se închide <strong>deasupra high-ului doji-ului</strong>. De obicei e cea
imediat următoare, dar breakout-ul mai poate veni și la a doua, a treia sau a
patra — de aceea lista de scanare se ține patru luni (vezi rutina). Doji-ul e
setup-ul, închiderea peste el e trigger-ul. „Cum să ai buy doji fără doji
înainte?"</li>
<li><strong>Buy hammer</strong> — același lucru, dar candela de dedesubt e un hammer: corp mic
sus, fitil lung în jos. Funcționează identic în strategia asta.</li>
<li><strong>Marubozu</strong> — candelă cu corp mare și fitile mici sau inexistente. Pe weekly
@@ -96,119 +104,119 @@ să poți citi pașii fără să te oprești.</p>
folosesc și la pașii 1, 2 și 4 (același doji, aceleași niveluri, ca să nu se
schimbe cifrele de la o secțiune la alta).</p>
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<text x="24" y="569.2" fill="#555">volum</text>
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<text x="443.0" y="296.3" fill="#1a5fb4" text-anchor="middle" style="font-weight:bold">ieși, nu aștepți</text>
<text x="24" y="675" fill="#555">Exemplu construit (fără ticker), la scară. R-urile sunt ale mele.</text>
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<text x="24" y="627.4" fill="#555">volum</text>
<text x="290.0" y="621.4" fill="#b06000" text-anchor="middle" style="font-weight:bold">doji</text>
<text x="307.0" y="465.4" fill="#188a3e" text-anchor="middle" style="font-weight:bold">buy doji</text>
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<text x="443.0" y="354.5" fill="#1a5fb4" text-anchor="middle" style="font-weight:bold">ieși, nu aștepți</text>
<text x="24" y="733" fill="#555">Exemplu construit (fără ticker), la scară. R-urile sunt ale mele.</text>
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<p>Citirea, de la stânga la dreapta: downtrend de 7 candele weekly, apoi un doji
(38.00-42.00), apoi candela de trigger care închide la 45.00, peste high-ul
@@ -231,14 +239,14 @@ mai slabă: „ideal ar fi să vină după un downtrend sau corecție majoră".<
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<text x="24" y="336.5" fill="#555">volum</text>
<text x="477.0" y="66.0" fill="#c00" text-anchor="middle" style="font-weight:bold">doji aici: după uptrend</text>
<text x="426.0" y="155.9" fill="#c00" text-anchor="middle" style="font-weight:bold">volum în scădere</text>
<text x="528.0" y="186.0" fill="#c00" text-anchor="middle" style="font-weight:bold">urmează corecția</text>
<text x="324.0" y="215.2" fill="#c00" text-anchor="middle" style="font-weight:bold">volum în scădere pe tot uptrend-ul</text>
<text x="528.0" y="186.0" fill="#c00" text-anchor="middle" style="font-weight:bold">urmează corecția, cu volum</text>
<text x="256.0" y="251.6" fill="#188a3e" text-anchor="middle" style="font-weight:bold">uptrend</text>
<text x="24" y="442" fill="#555">Exemplu construit (fără ticker), la scară. Doji-ul arată identic; ce îl descalifică e ce e în stânga lui.</text>
</svg></p>
@@ -498,12 +506,12 @@ lași, sau intri <strong>manual în premarket / after hours</strong>.</p>
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<text x="24" y="48" fill="#333" style="font-weight:bold">Pasul 2, ladder umplut — JNJ weekly</text>
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<text x="672" y="161.3" fill="#188a3e" text-anchor="end">intrare 1/3 la close 157.47</text>
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<text x="30" y="185.8" fill="#188a3e">limit 1/3 la 155.02 = 1/3 din marubozu</text>
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<text x="672" y="198.0" fill="#6a3d9a" text-anchor="end">limit 1/3 la 1/2 din marubozu</text>
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<text x="30.0" y="198.0" fill="#6a3d9a">limit 1/3 la 1/2 din marubozu</text>
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@@ -610,11 +618,11 @@ dublat în preț aproape" — fără să atingă nici primul nivel de 1/3.</p>
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<text x="30" y="296.9" fill="#c00">limit 1/3 la 104.67 — niciodată atins</text>
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<text x="30.0" y="296.9" fill="#c00">limit 1/3 — niciodată atins</text>
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<text x="672" y="123.6" fill="#1a5fb4" text-anchor="end">unde a ajuns: 180</text>
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@@ -727,15 +735,15 @@ de toleranța voastră la risc și de experiență":</p>
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<text x="24" y="74" fill="#333" style="font-weight:bold">Pasul 3, stopul — NVDA monthly</text>
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<text x="30" y="311.2" fill="#c00">sub low-ul doji-ului: 86</text>
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<text x="30" y="292.0" fill="#c00">SL 2/3 din doji: 94</text>
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<text x="30.0" y="311.2" fill="#c00">sub low-ul doji-ului: 86</text>
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<text x="30.0" y="292.0" fill="#c00">SL 2/3 din doji: 94</text>
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</svg></p>
<p>Exemplul e al lui, pe NVDA monthly. Doji-ul are <strong>28 de dolari</strong> înălțime și
low-ul la <strong>86</strong>. O treime deasupra low-ului e, „aproximativ din ochi, pe la
<strong>94</strong>. Versus normal trebuia să-l ai la <strong>86</strong>" — adică varianta 2/3 taie
jumătate din risc față de stopul sub low. (Strict calculat, o treime din 28
<strong>94</strong>. Versus normal trebuia să-l ai la <strong>86</strong>" — adică, măsurat de la
close-ul de trigger de 133, stopul la 94 e la <strong>29,3%</strong> distanță, iar cel de
sub low, la 86, la <strong>35,3%</strong>. Varianta 2/3 scade riscul cu o treime din
înălțimea doji-ului, nu cu jumătate. (Strict calculat, o treime din 28
deasupra lui 86 dă 95.33; el citește 94 pe grafic. Diferența e a lui, nu o
corectez — pe monthly, un dolar nu schimbă decizia.)</p>
<p>Și acum partea pe care o spune direct, fără să o îmbrace: stopul ăsta e <strong>uriaș
în procente</strong>. Cu intrarea la <strong>133</strong> și stopul sub low-ul doji-ului, „ce stop
loss trebuie să ai tu aici cu prima poziție 1/3? […] chiloții la <strong>56%</strong> asumare
pierdere? Bă, 56%." Pe Dell spune „stop loss-ul inițial, 68%", iar pe MLM
în procente</strong>: „ce stop loss trebuie să ai tu aici cu prima poziție 1/3? […]
chiloții la <strong>56%</strong> asumare pierdere? Bă, 56%."</p>
<p>Atenție la cifra asta, pentru că <strong>nu se verifică</strong> pe nivelurile pe care le
dă el. 56% e rostit separat, fără să fie legat de un preț de intrare; de la
close-ul de trigger de 133 până la 86 sunt 35,3%, nu 56%. Cel mai aproape de
56% ajungi socotind distanța ca procent din nivelul stopului (47/86 = 54,6%) —
probabil de acolo îi vine cifra, dar e o speculație a mea. Reține ordinul de
mărime („stop uriaș, de câteva zeci de procente"), nu numărul. Pe Dell spune
că stop loss-ul inițial e „68 la 100" [sic], iar pe MLM
măsoară „21%" pe varianta cu 4 candele în spate și „în loc de 21 aveai un 17" pe
varianta de 2/3. Astea nu sunt stopuri de day trading; sunt stopuri
de poziție de investiție, și de-aia pasul 6 (mărimea poziției) nu e opțional.</p>
@@ -855,72 +871,82 @@ TP1 ăsta este egal cu TP2 inițial. Pentru că dacă tu intri la 1/3, exact câ
s-a terminat candela, TP1 e TP2. Dar pe măsură ce intri cu poziția a doua și
poziția a treia tu vei face un average." Deci TP2 e <strong>aceeași regulă de 1R, dar
recalculată pe prețul mediu</strong> după ce s-au umplut tranșele 2 și 3. La prima
tranșă cele două coincid; se despart abia când mediezi.</p>
tranșă cele două coincid; se despart abia când mediezi. <strong>Partea cu „se
despart" e lectura mea</strong> — vezi rezerva de după diagramă.</p>
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<p><svg viewBox="0 0 700 372" xmlns="http://www.w3.org/2000/svg" style="width:100%;height:auto;font:12px sans-serif">
<text x="24" y="70" fill="#333" style="font-weight:bold">Pasul 4, cele două ținte — weekly (exemplu construit)</text>
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<text x="289.0" y="172.5" fill="#1a5fb4" text-anchor="end" style="font-weight:bold">TP2 = 1R pe medie (4.28)</text>
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<text x="396.0" y="87.3" fill="#1a5fb4" text-anchor="middle" style="font-weight:bold">TP1 = 1R pe prima tranșă (5.67)</text>
<text x="24" y="327" fill="#555">Mediind în jos, 1R se scurtează: TP2 vine înaintea lui TP1. R-urile sunt ale mele.</text>
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<text x="30.0" y="306.9" fill="#c00">SL 39.33</text>
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<text x="672" y="251.3" fill="#6a3d9a" text-anchor="end">preț mediu 43.61</text>
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<text x="672" y="233.2" fill="#188a3e" text-anchor="end">intrare 1/3 la 45.00</text>
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<text x="672" y="195.6" fill="#1a5fb4" text-anchor="end">TP2 47.89</text>
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<text x="672" y="159.5" fill="#1a5fb4" text-anchor="end">TP1 50.67</text>
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<text x="289.0" y="189.6" fill="#1a5fb4" text-anchor="end" style="font-weight:bold">TP2 = 1R pe medie (4.28)</text>
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<text x="396.0" y="120.5" fill="#1a5fb4" text-anchor="middle" style="font-weight:bold">TP1 = 1R pe prima tranșă (5.67)</text>
<text x="24" y="360" fill="#555">Lectura mea: mediind în jos, TP2 vine înaintea lui TP1. Fraza-sursă e neinteligibilă aici.</text>
</svg></p>
<p>Pe exemplul construit se vede efectul, și e contraintuitiv: <strong>mediind în jos,
1R se scurtează</strong>. Prețul mediu al celor trei tranșe e 43.61, stopul 39.33, deci
1R e 4.28 și TP2 cade la 47.89 — sub TP1 de 50.67, care e 1R socotit pe prima
tranșă intrată la 45.00. Ținta vine mai repede și cu risc mai mic pe acțiune.
Cifrele astea sunt derivările mele pe exemplul construit; cursul dă regula, nu
exemplul numeric. Avertismentul lui despre asta: „o să-ți dea un average la un
<p><strong>Aici e o lectură a mea, nu o regulă rostită.</strong> Fraza-sursă e neinteligibilă
exact în punctul care contează: ea spune doar că la prima tranșă TP1 = TP2 și că
pe măsură ce intri cu tranșele 2 și 3 „o să-ți dea un average" — dar <strong>nu spune
care dintre cele două ținte se recalculează pe medie</strong>. Lectura pe care o
folosesc în document: TP2 e 1R socotit pe prețul mediu, deci cade sub TP1.
Varianta alternativă, cel puțin la fel de plauzibilă, e că se recalculează și
ținta și stopul pe prețul mediu („vezi cum calculezi TP-ul <strong>și</strong> SL-ul"), caz
în care TP1 și TP2 rămân identice și după mediere, iar „TP2 sub TP1" nu se mai
produce. Diagramele de mai sus desenează prima variantă, marcată ca lectură.</p>
<p>Pe lectura asta, pe exemplul construit, efectul e contraintuitiv: <strong>mediind în
jos, 1R se scurtează</strong>. Prețul mediu al celor trei tranșe e 43.61, stopul 39.33,
deci 1R e 4.28 și TP2 cade la 47.89 — sub TP1 de 50.67, care e 1R socotit pe
prima tranșă intrată la 45.00. Ținta vine mai repede și cu risc mai mic pe
acțiune. Cifrele astea sunt derivările mele pe exemplul construit; cursul dă
regula, nu exemplul numeric. Avertismentul lui despre asta: „o să-ți dea un average la un
moment dat […] vezi cum calculezi TP-ul și SL-ul, că o să-ți dea o medie" — cu
alte cuvinte, recalculează, nu lăsa ordinele vechi.</p>
<p>Cât aștepți: ținta vine „între 5 și 10 perioade. Dacă sunt pe weekly, ar trebui
@@ -940,16 +966,15 @@ trebuit să mai pun un slash."</p>
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<text x="24" y="78" fill="#333" style="font-weight:bold">Pasul 5, trail pe swing low — weekly (decizia a fost pe monthly)</text>
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<text x="30" y="214.4" fill="#c00">trail 1: 48.20</text>
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<text x="30" y="175.2" fill="#c00">trail 2: 53.80</text>
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<text x="672" y="175.2" fill="#c00" text-anchor="end">trail 2: 53.80</text>
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<text x="672" y="133.2" fill="#c00" text-anchor="end">trail 3: 59.80</text>
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<text x="672" y="95.4" fill="#c00" text-anchor="end">trail 4: 65.20</text>
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<text x="551" y="132" fill="#b06000">SMA-20</text>
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@@ -1042,9 +1067,11 @@ trebuit să mai pun un slash."</p>
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<text x="24" y="279.6" fill="#555">volum</text>
<text x="154.0" y="254.4" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low</text>
<text x="290.0" y="150.0" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low mai sus → muți stopul</text>
<text x="24" y="386" fill="#555">Exemplu construit (fără ticker). Stopul urcă doar la un swing low mai sus; nu coboară niciodată.</text>
<text x="154.0" y="254.4" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low 1</text>
<text x="290.0" y="215.2" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low 2</text>
<text x="426.0" y="173.2" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low 3</text>
<text x="545.0" y="135.4" fill="#c00" text-anchor="middle" style="font-weight:bold">swing low 4</text>
<text x="24" y="386" fill="#555">Fiecare linie de trail pornește de la swing low-ul care o declanșează; stopul nu coboară niciodată.</text>
</svg></p>
<p>De ce un timeframe mai mic și nu același: pe weekly, între două swing low-uri
pot trece șase săptămâni — „ăsta era ultimul trail și următorul trail s-a format
@@ -1052,8 +1079,8 @@ peste […] șase săptămâni de la trail-ul ăsta". Un trail atât de larg te
foarte departe cu poziția („te duci cu el țeavă"), dar dacă l-ai pune pe
monthly, după o decizie luată pe monthly, n-ai muta stopul decât o dată pe
trimestru.</p>
<p>Cât stai, în practică, din exemplele lui: 3 săptămâni minim dacă ai intrat pe
weekly; pe Johnson &amp; Johnson a trebuit să stai „1, 2, 3 … 12 săptămâni, și abia
<p>Cât stai, în practică, din exemplele lui: câteva săptămâni dacă ai intrat pe
weekly (minimul de 3 e lectura mea, vezi mai sus); pe Johnson &amp; Johnson a trebuit să stai „1, 2, 3 … 12 săptămâni, și abia
în a 13-a vedeai profitul"; pe Alibaba, 14 săptămâni. Pe monthly, 2-3 ani.</p>
<h2 id="pasul-6-marimea-pozitiei-al-doilea-p">Pasul 6 — Mărimea poziției (al doilea P)</h2>
<p><strong>Maxim 1-2-3% din cont</strong>, și „când zic mărimea totală a poziției, mă refer la
@@ -1065,9 +1092,10 @@ pe prima tranșă. „Când calculezi stop loss-ul, să nu reprezinte 2% din tot
real rămâne o treime din cel calculat — e în favoarea ta, nu invers. Invers,
dacă dimensionezi pe prima treime și se umplu toate, ai de trei ori riscul pe
care l-ai aprobat.</p>
<p>Cu un stop de 56% ca la NVDA, aritmetica e brutală și merită scrisă o dată:
dacă accepți să pierzi 2% din cont și stopul e la 56% distanță, poziția nu poate
depăși ~3,5% din cont. Asta e derivarea mea, nu o cifră din curs — dar e
<p>Cu un stop de ordinul celui de pe NVDA, aritmetica e brutală și merită scrisă o
dată: dacă accepți să pierzi 2% din cont și stopul e la 35% distanță, poziția nu
poate depăși ~5,7% din cont; la 56%, cât rostește el, ~3,5%. Astea sunt
derivările mele, nu cifre din curs — dar sunt
motivul pentru care pasul 6 nu e o formalitate pe timeframe-urile astea.</p>
<h2 id="rutina-cum-le-gasesti-inainte-sa-se-inchida-candela">Rutina: cum le găsești înainte să se închidă candela</h2>
<p>Partea cea mai practică a lecției, și cea pe care o repetă la final de două ori.
@@ -1082,7 +1110,7 @@ citește candela <strong>în formare</strong>.</p>
<text x="32" y="66" fill="#1a5fb4" style="font-weight:bold">1. Scanner, pe candelă închisă</text>
<text x="32" y="86" fill="#333">doar DOJI, nu buy doji</text>
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<text x="262" y="66" fill="#1a5fb4" style="font-weight:bold">2. Lista, 3-400 de simboluri</text>
<text x="262" y="66" fill="#1a5fb4" style="font-weight:bold">2. Lista, 200-300 de simboluri</text>
<text x="262" y="86" fill="#333">ținută 4 luni, într-un excel</text>
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<text x="492" y="66" fill="#1a5fb4" style="font-weight:bold">3. Radar screen</text>
@@ -1135,12 +1163,14 @@ volum pozitiv).</p>
<p>Exemplul cu cifre e Tesla, și e instructiv pentru că arată exact ce face
alegerea stopului:</p>
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<text x="24" y="48" fill="#333" style="font-weight:bold">Când nu merge — Tesla weekly</text>
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<text x="672" y="348.4" fill="#c00" text-anchor="end">minimul de după: 214.25</text>
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<text x="539" y="241" fill="#b06000">SMA-20</text>
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<text x="30.0" y="341.1" fill="#b06000">low-ul hammer-ului: 217.02</text>
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<text x="672" y="366.4" fill="#c00" text-anchor="end">minimul de după: 214.25</text>
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@@ -1189,46 +1219,40 @@ alegerea stopului:</p>
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<rect x="376.0" y="381.0" width="10" height="70.0" fill="#188a3e" opacity="0.55"/>
<rect x="395.0" y="387.4" width="10" height="63.6" fill="#188a3e" opacity="0.55"/>
<rect x="414.0" y="418.4" width="10" height="32.6" fill="#188a3e" opacity="0.55"/>
<rect x="433.0" y="412.8" width="10" height="38.2" fill="#188a3e" opacity="0.55"/>
<rect x="452.0" y="416.8" width="10" height="34.2" fill="#188a3e" opacity="0.55"/>
<rect x="471.0" y="411.2" width="10" height="39.8" fill="#188a3e" opacity="0.55"/>
<rect x="490.0" y="415.2" width="10" height="35.8" fill="#188a3e" opacity="0.55"/>
<rect x="509.0" y="419.2" width="10" height="31.8" fill="#c00" opacity="0.55"/>
<rect x="528.0" y="413.6" width="10" height="37.4" fill="#188a3e" opacity="0.55"/>
<text x="24" y="375.0" fill="#555">volum</text>
<line x1="24" y1="521.4" x2="686" y2="521.4" stroke="#888"/>
<rect x="53.0" y="489.5" width="10" height="31.8" fill="#c00" opacity="0.55"/>
<rect x="72.0" y="484.0" width="10" height="37.4" fill="#c00" opacity="0.55"/>
<rect x="91.0" y="487.9" width="10" height="33.4" fill="#c00" opacity="0.55"/>
<rect x="110.0" y="482.4" width="10" height="39.0" fill="#c00" opacity="0.55"/>
<rect x="129.0" y="486.4" width="10" height="35.0" fill="#c00" opacity="0.55"/>
<rect x="148.0" y="480.8" width="10" height="40.6" fill="#c00" opacity="0.55"/>
<rect x="167.0" y="484.8" width="10" height="36.6" fill="#c00" opacity="0.55"/>
<rect x="186.0" y="488.7" width="10" height="32.6" fill="#c00" opacity="0.55"/>
<rect x="205.0" y="483.2" width="10" height="38.2" fill="#c00" opacity="0.55"/>
<rect x="224.0" y="487.1" width="10" height="34.2" fill="#c00" opacity="0.55"/>
<rect x="243.0" y="481.6" width="10" height="39.8" fill="#c00" opacity="0.55"/>
<rect x="262.0" y="485.6" width="10" height="35.8" fill="#c00" opacity="0.55"/>
<rect x="281.0" y="464.1" width="10" height="57.3" fill="#188a3e" opacity="0.55"/>
<rect x="300.0" y="484.0" width="10" height="37.4" fill="#c00" opacity="0.55"/>
<rect x="319.0" y="487.9" width="10" height="33.4" fill="#c00" opacity="0.55"/>
<rect x="338.0" y="459.3" width="10" height="62.0" fill="#c00" opacity="0.55"/>
<rect x="357.0" y="454.5" width="10" height="66.8" fill="#188a3e" opacity="0.55"/>
<rect x="376.0" y="451.4" width="10" height="70.0" fill="#188a3e" opacity="0.55"/>
<rect x="395.0" y="457.7" width="10" height="63.6" fill="#188a3e" opacity="0.55"/>
<rect x="414.0" y="488.7" width="10" height="32.6" fill="#188a3e" opacity="0.55"/>
<rect x="433.0" y="483.2" width="10" height="38.2" fill="#188a3e" opacity="0.55"/>
<rect x="452.0" y="487.1" width="10" height="34.2" fill="#188a3e" opacity="0.55"/>
<rect x="471.0" y="481.6" width="10" height="39.8" fill="#188a3e" opacity="0.55"/>
<rect x="490.0" y="485.6" width="10" height="35.8" fill="#188a3e" opacity="0.55"/>
<text x="24" y="445.4" fill="#555">volum</text>
<text x="286.0" y="283.0" fill="#b06000" text-anchor="middle" style="font-weight:bold">buy hammer — primul semnal</text>
<text x="381.0" y="262.2" fill="#188a3e" text-anchor="middle" style="font-weight:bold">al doilea semnal, acesta merge</text>
<text x="495.0" y="111.4" fill="#188a3e" text-anchor="middle" style="font-weight:bold">7 săptămâni de urcare</text>
<line x1="237.0" y1="321.1" x2="270.3" y2="342.8" stroke="#b06000" stroke-width="1.8"/>
<polygon points="277.0,347.1 268.1,346.1 272.5,339.4" fill="#b06000"/>
<text x="233.0" y="318.1" fill="#b06000" text-anchor="end" style="font-weight:bold">low-ul hammer-ului: 217.02;</text>
<text x="233.0" y="332.1" fill="#b06000" text-anchor="end" style="font-weight:bold">stopul pus sub el a fost luat</text>
<text x="24" y="481" fill="#555">Ale lui: 217.02, 214.25 și cele 7 săptămâni de după al doilea semnal; restul barelor e al meu.</text>
<line x1="343.0" y1="388.4" x2="343.0" y2="366.4" stroke="#c00" stroke-width="1.8"/>
<polygon points="343.0,358.4 347.0,366.4 339.0,366.4" fill="#c00"/>
<text x="343.0" y="402.4" fill="#c00" text-anchor="middle" style="font-weight:bold">stopul pus sub 217.02</text>
<text x="343.0" y="416.4" fill="#c00" text-anchor="middle" style="font-weight:bold">a fost luat aici</text>
<text x="24" y="551" fill="#555">Ale lui: 217.02, 214.25 și cele 7 săptămâni de după al doilea semnal; restul barelor e al meu.</text>
</svg></p>
<p>„Uite, buy hammer-ul ăsta n-a mers, de exemplu. Acum depinde unde aveai stop
loss-ul. Dacă low-ul ăsta de aici e <strong>217.02</strong>, low-ul ăsta de aici este
@@ -1308,7 +1332,10 @@ rutină și diagrama de divergență (forma lor; cifrele de volum sunt citirile
lui).</p>
<p><strong>Ce rămâne neclar în sursă</strong>, fără să inventez o rezolvare: eticheta TP2 e
rostită neinteligibil („bit, bich, TPU normal"), iar lămurirea o dă doar
indirect, prin explicația cu media; și litera I din MICIS are două justificări
indirect, prin explicația cu media — nu spune care dintre ținte se recalculează
pe prețul mediu, deci „TP2 sub TP1" rămâne lectura mea, marcată ca atare pe
diagrame; cifra de 56% nu se verifică pe nivelurile rostite în același exemplu;
fraza despre cât stai pe weekly („3 din păie de stat") e neinteligibilă; și litera I din MICIS are două justificări
în același paragraf (instituțional și investiții), autorul recunoscând că nu
mai ține minte.</p>
<h2 id="referinte">Referințe</h2>
@@ -1318,6 +1345,6 @@ mai ține minte.</p>
<li><a href="https://www.investopedia.com/terms/s/scaling.asp">Investopedia — Scaling In and Out</a> — intrarea în tranșe și efectul pe prețul mediu, mecanismul din pasul 2.</li>
<li><a href="https://www.investopedia.com/terms/t/trailingstop.asp">Investopedia — Trailing Stop</a> — trail-ul pe swing low din pasul 5.</li>
<li><a href="https://www.ig.com/en/trading-strategies/what-are-pivot-points-and-how-do-you-use-them-in-trading-230302">IG — Pivot Points</a> — cum se calculează pivoții pe perioadă (de unde vin PPQ și PPM).</li>
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