← Back to JP Signals
JP · RAKUTEN INVESTMENT NIKKEI 225 D

1459.T 110.00 -0.90%

RAKUTEN INVESTMENT NIKKEI 225 D · No edge in recent regime · Phase: Downtrend recovery

Phase: Downtrend recovery Action: WAIT Strategy: WAIT_RANGE Reliability:
1459.T daily K

10-step framework

① Phase Downtrend recovery
② Framework 20-day rolling box + 60-day trend
③ S/R ladder S1 100.00 · S2 99.00 · S3 110.00 · S4 165.00
④ Position 40% of box
⑤ Bias (短) WAIT
⑥ Notes WAIT_RANGE: in box (100-125), pos 40%, no clear setup

If-then scenarios

  • IF 反彈至 125.00 區間, THEN SELL_R1 entry, target 100.00, stop 127.50
  • IF 失守 100.00 (S1), THEN SHORT confirmation, target 99.00 → 98.50
  • IF 突破 127.50 企穩, THEN 反轉睇 131.25 → 220.00
  • IF 跌穿 165.00 (crash low), THEN 中期 bear confirm,avoid

Action Plan WAIT

⚠️ 呢個係條件單計劃,唔係「而家市價買/沽」。只有價格真係去到 Trigger 價先入場;全日冇掂到 Trigger = 唔使做嘢。Stop 一穿即走,唔好等。BUY = 買入計劃,SELL = 沽出/短沽計劃。
Strategy WAIT_RANGE
Trigger
Target
Stop
Phase match ✗ 唔夾 — 降級風險
Risk +0.00%
Reward +0.00%
R:R 0.00 : 1

Key levels

R3 (Aug high)
220.00
R1 (today high)
111.00
Last
110.00
S1 KEY
104.00
S3
110.00
S4 (crash)
165.00
教育用途 only。Backtest 唔等於 live 表現。Always size your position to risk 1-2% of account.
← Back to JP Signals Methodology
← 1458.T RAKUTEN INVESTMENT NIKKEI 225 L → 1812.T KAJIMA CORP