🔹 Multi Time Frame (MTF) Analysis
HTF (High Time Frame):
Yearly, Half-Yearly, and Quarterly → All UP trend with strong demand zones.
Avg Demand Zone: Proximal ~5814 | Distal ~3911 | Avg ~4863
MTF (Medium Time Frame):
Monthly, Weekly, Daily → All UP trend with demand zones around 6706–6252
Avg: Proximal 6706 | Distal 6035 | Avg 6370
ITF (Intraday Time Frame):
240M, 180M, 60M → All UP trend
Demand zone consistent at 6706–6252 | Avg ~6479
📌 Conclusion: All time frames aligned UP, giving strong confirmation for long trade bias.
🔹 Trade Setup
Entry: 6706
Stop Loss (SL): 6252
Target: 9346
Risk (points): 454 (≈7%)
Reward (points): 2640 (≈39%)
Risk/Reward Ratio: 5.81
⚡ Excellent R:R ratio → high probability, low risk relative to upside.
🔹 Position Sizing & Capital
Quantity: 500 units
Total Buy Value: 3,353,000
Capital Required (MTF 65%): 1,173,550
Brokerage & Taxes: 0.49% → 16,436
🔹 Profit/Loss Projection
If Target Hits:
Gross Profit: 1,320,000
Net Profit (after brokerage): 1,303,564
If SL Hits:
Gross Loss: 227,000
Net Loss: 243,436
Net RR: 5.35
🔹 ROI Calculation
MTF Capital Used: 2,179,450
Interest (4 months @ 9.69% annual): 69,432
Total Net Profit (after interest): 1,234,132
Real ROI (in 4 months): 105%
🚀 Meaning: In just 4 months, the trade could potentially double the capital if the target is achieved.
✅ Summary Insight:
This trade plan is very favorable – multiple timeframe confluence, high R:R ratio (5.35), and excellent ROI potential (105% in 4 months). The only risk is the deep SL (6252), which still maintains healthy position sizing relative to target.
HTF (High Time Frame):
Yearly, Half-Yearly, and Quarterly → All UP trend with strong demand zones.
Avg Demand Zone: Proximal ~5814 | Distal ~3911 | Avg ~4863
MTF (Medium Time Frame):
Monthly, Weekly, Daily → All UP trend with demand zones around 6706–6252
Avg: Proximal 6706 | Distal 6035 | Avg 6370
ITF (Intraday Time Frame):
240M, 180M, 60M → All UP trend
Demand zone consistent at 6706–6252 | Avg ~6479
📌 Conclusion: All time frames aligned UP, giving strong confirmation for long trade bias.
🔹 Trade Setup
Entry: 6706
Stop Loss (SL): 6252
Target: 9346
Risk (points): 454 (≈7%)
Reward (points): 2640 (≈39%)
Risk/Reward Ratio: 5.81
⚡ Excellent R:R ratio → high probability, low risk relative to upside.
🔹 Position Sizing & Capital
Quantity: 500 units
Total Buy Value: 3,353,000
Capital Required (MTF 65%): 1,173,550
Brokerage & Taxes: 0.49% → 16,436
🔹 Profit/Loss Projection
If Target Hits:
Gross Profit: 1,320,000
Net Profit (after brokerage): 1,303,564
If SL Hits:
Gross Loss: 227,000
Net Loss: 243,436
Net RR: 5.35
🔹 ROI Calculation
MTF Capital Used: 2,179,450
Interest (4 months @ 9.69% annual): 69,432
Total Net Profit (after interest): 1,234,132
Real ROI (in 4 months): 105%
🚀 Meaning: In just 4 months, the trade could potentially double the capital if the target is achieved.
✅ Summary Insight:
This trade plan is very favorable – multiple timeframe confluence, high R:R ratio (5.35), and excellent ROI potential (105% in 4 months). The only risk is the deep SL (6252), which still maintains healthy position sizing relative to target.
คำจำกัดสิทธิ์ความรับผิดชอบ
ข้อมูลและบทความไม่ได้มีวัตถุประสงค์เพื่อก่อให้เกิดกิจกรรมทางการเงิน, การลงทุน, การซื้อขาย, ข้อเสนอแนะ หรือคำแนะนำประเภทอื่น ๆ ที่ให้หรือรับรองโดย TradingView อ่านเพิ่มเติมที่ ข้อกำหนดการใช้งาน
คำจำกัดสิทธิ์ความรับผิดชอบ
ข้อมูลและบทความไม่ได้มีวัตถุประสงค์เพื่อก่อให้เกิดกิจกรรมทางการเงิน, การลงทุน, การซื้อขาย, ข้อเสนอแนะ หรือคำแนะนำประเภทอื่น ๆ ที่ให้หรือรับรองโดย TradingView อ่านเพิ่มเติมที่ ข้อกำหนดการใช้งาน