Strategy #193
Opening Gap Momentum Continuation
Entry Logic
- Exact Entry Trigger: A stock gaps up and shows strong momentum in the first 5 minutes. Enter long on a pullback to the 9-period EMA on the 1-minute chart.
- Confirmation Requirements: The stock must be trading above VWAP. The pullback should be on low volume.
- Timeframe Required: 1-minute chart.
- Location Context: The entry occurs at a dynamic support level (9 EMA).
- Market Condition Requirement: A strong trending market.
Exit Logic
- Profit Target(s): Target 1R and 2R.
- Scaling Out Rules: Scale out at each target.
- Trailing Stop Rules: Use the 20-period EMA on the 1-minute chart.
- Exit on Signal Failure: Exit if the stock breaks below VWAP.
- Exit on Opposite Signal: Not applicable.
- Exit on Time Expiration: Exit by 10:30 AM EST.
- Exit on Momentum Loss: Exit if the upward momentum stalls.
Stop Loss Structure
- Hard Stop Location: Below the 20-period EMA on the 1-minute chart.
- Soft Stop Rules: None.
- Maximum Dollar Loss: 1% of account.
- Maximum Percent Loss: 2% of stock price.
- Structural Stop Placement: Below the 20-period EMA.
Risk Management Framework
- Risk Per Trade: 1% of capital.
- Maximum Daily Loss Limit: 3%.
- Maximum Weekly Loss Limit: 6%.
- Maximum Drawdown Allowed: 15%.
- Risk-Reward Ratio Requirement: Minimum 1.5:1.
Position Sizing Model
- Recommended Sizing Approach: Based on 1% risk rule.
- Volatility-Based Adjustment: Reduce size in volatile stocks.
- Conviction-Based Sizing: Full size for A+ setups.
- Scaling In Rules: Do not scale in.
- Scaling Out Rules: As defined in Exit Logic.
Trade Filtering
- Market Conditions to Avoid: Range-bound or bearish markets.
- Specific Setups Required: A strong gap up with momentum.
- Stock/Instrument Requirements: High-beta stocks.
- Time of Day Restrictions: First 30 minutes of trading.
- Chop/News Avoidance Rules: Avoid news-driven gaps.
Context Framework
- Trend Direction Assessment: Best in strong bull markets.
- VWAP Relationship: The entry must be above VWAP.
- Moving Average Relationship: The stock is trading above its key moving averages.
- Range Location: At the top of the daily range.
- Higher Timeframe Alignment: The daily chart should be in an uptrend.
Trade Management Rules
- When to Move Stop to Breakeven: After the first target is hit.
- When to Scale Out: At profit targets.
- When to Add Size: Never.
- How to Handle Fast Moves vs Slow Moves: Let the trade play out.
Time Rules
- Optimal Trading Window: First 30 minutes of trading.
- Times to Avoid: After 10:30 AM EST.
- Session-Specific Notes: Best in the New York session.
Setup Classification
- A+ Setup Criteria: A strong gap up with high volume and a clean pullback to the 9 EMA.
- A Setup Criteria: A strong gap up with average volume.
- B Setup Criteria: A pullback to the 20 EMA instead of the 9 EMA.
- C Setup Criteria: A gap up in a weak market.
Market Selection Criteria
- Instrument Requirements: High-beta stocks.
- Volume/Liquidity Requirements: >2M daily volume.
- Volatility Requirements: High.
Statistical Edge Metrics
- Expected Win Rate: 45-50%.
- Average Win Size: 3R.
- Average Loss Size: 1R.
- Profit Factor: 1.3 to 1.6.
- Expectancy Per Trade: +0.4R to +0.6R.
Failure Conditions
- Market Conditions Where Strategy Fails: Range-bound or bearish markets.
- Specific Scenarios to Avoid: Pullbacks that are too deep.
Psychological Rules
- Key Mental Discipline Requirements: Requires discipline to buy a pullback in a fast-moving stock.
Advanced Components
- Market Regime Detection: Use market internals to confirm strength.
- Volatility/Liquidity Filters: Avoid illiquid stocks.
- Correlation Filters: Not applicable.
- Multi-Timeframe Alignment: Look for confirmation on the 5-minute chart.
Location
- Where This Setup Is Strongest: In a strong bull market.
- Where This Setup Is Weakest: In a range-bound market.
- Location Changes Outcome: The strength of the trend is critical.