Dario Profile
Dario

@TMLitalia

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Following
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Trader. US market. -The greatest enemy of good trading is the dream of perfect trading-

Milano, Lombardia
Joined October 2020
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@TMLitalia
Dario
5 months
In light of @jfsrevg ' post where he pointed out that the way forward is maximum transparency I want to share some of my statistics. By doing so I want to let people reading understand what kind of trader I am, answer some questions that promptly come when I post something, and hopefully help someone. I think everyone should do this, first because firing off winning tickers serves absolutely no purpose except to expand one's ego and create FOMO in those who read, second because it is a good base from which to understand all other posts (even those with winning charts). I start with the least interesting fact but one that everyone wants to know first...it is a 3 digits year for me...that is the goal, but the means to achieve it were more important: -avg win/loss ratio 20.19% (oddly enough as also Jeff is the lowest in my 20 years as a trader...my average was around 28-30%) -avg win % 9.03 -avg loss % -2.26 -# of trades 426 (way too many) -largest win +52.36% -largest loss -10.16% -best avg w/l ratio: 44.44% (sept); worst: 18.42% (apr) -best avg win: 15.54% (aug); worst: 4.18% (jul) -best avg loss: -1.82% (sep); worst: -2.91% (jan) -max # trades 80 (may); min: 20 (aug) -best avg winner/avg loss: 8.34x (aug), worst: 2(jul) NB. “win” positions are usually 50% to 100% larger than “loss” positions as a result of certain trade management rules.
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@TMLitalia
Dario
19 hours
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@TMLitalia
Dario
22 hours
@Scot1andT Same $achr
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@TMLitalia
Dario
3 days
@jfsrevg Jeff, what was your % port position in your winners? thanks
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@TMLitalia
Dario
3 days
RT @dennisc230: Nasdaq chart over the last two months. Chopfest.
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@TMLitalia
Dario
4 days
@Scot1andT More posts like this..thanks😉
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@TMLitalia
Dario
4 days
@Scot1andT where did you put the sl in the 2nd buy? thx
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@TMLitalia
Dario
4 days
@jmoneystonks Hi…could I ask you what is your %port risk per trade and your batt.avg? Thanks
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@TMLitalia
Dario
4 days
@Scot1andT Scot, how many stocks are on your WL every morning on average? do you put alerts on trendline? thx
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@TMLitalia
Dario
5 days
@ConnorJBates_ + $qfin
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@TMLitalia
Dario
5 days
@RichardMoglen @mikulkal Great Richard...when will be out? thanks
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@TMLitalia
Dario
5 days
@theogustincic PLTR GEV ROOT APP META RBRK SPOT SNOW TWLO RKLB RDDT HOOD OKLO HIMS
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@TMLitalia
Dario
5 days
@PrimeTrading_ Great post, Alex! what MA you in Ripster? thanks
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@TMLitalia
Dario
5 days
Why do you think tight range influence positive range too (0;+3).because the first cut of the position (considered as a multiple of R) is closer and easier to reach? In this case, however, when the first target is reached, the stop should be raised to the buy point, otherwise the range (0;+3) would not be affected
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@TMLitalia
Dario
5 days
@mikulkal because, I think, tight risk is not a factor for 0-2% range...it could be for (-2;0) range...glad to listen your opinion
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@TMLitalia
Dario
5 days
@mikulkal kicking things out means if you are up 1-2% on a stock and it goes down to buy point, you sell?
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@TMLitalia
Dario
5 days
@jmoneystonks @BicerEsercan Hi, what % of position is the first partial? and on avg, in 2024 what was your avg position as % of portfolio? thanks
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@TMLitalia
Dario
6 days
@AmeetRai_ @Deepvue Rai, do you have a deadline for DV charts (no TV)? thanks
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@TMLitalia
Dario
7 days
@MarketBattler mark usually raise sl at breakeven when he sells half (at 6% in bad mkt or 15-22% in good mkt) or de-risk is only sell half position and the SLs don't change? thanks
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@TMLitalia
Dario
9 days
@Scot1andT $OKLO weekly
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