Pre-Bell Futures Day Trading Strategy – 2 Dec 2024

Day Trading Strategy Report for Futures Contracts - December 2, 2024

Market Overview

  • Time: Pre-market session ahead of the 9:30 AM EST open.

  • Global Sentiment: The markets are showing cautious optimism, influenced by recent geopolitical developments, mixed economic data, and anticipation of key economic releases later in the week.

  • Economic Calendar: Key events today include:

    • US Manufacturing PMI: Expected to provide insights into industrial activity, potentially impacting equities and Treasuries.

    • Crude Oil Inventories: Crucial for #CL_F traders, reflecting supply dynamics.

  • News Mentions:

    • Positive tech earnings have bolstered sentiment in #NQ_F.

    • A surprise rate cut hint from the Fed has markets recalibrating for #ZN_F and #ZB_F.

 

Technical Analysis

E-mini S&P 500 (#ES_F):

·       Support: 6037, 6019, 6014.75

·       Resistance: 6060, 6042

·       Pivot Points: 6042 (daily pivot)

·       Moving Averages: Above 50-day and 100-day MA, signaling a bullish trend.

·       VWAP (Volume Weighted Average Price):

o   If price is above VWAP, it's a bullish signal; traders might look to buy on dips towards VWAP for potential bounces.

·       MACD (Moving Average Convergence/Divergence):

o   Current: Bullish if the MACD line is above the signal line, especially if there's a bullish crossover (MACD line crossing above the signal line from below).

o   Divergence: Watch for any divergence; if the price makes new highs but MACD does not, it might signal weakening momentum.

 

Nasdaq-100 E-mini (#NQ_F):

·       Support: 20,825, 20,682

·       Resistance: 21,121.75, 21,054.75 (neckline zone), 21,200

·       VWAP:

o   Price action above VWAP could indicate strong buying pressure; a return to VWAP might offer entry points for bullish traders.

·       MACD:

o   Current: Look for bullish signals if MACD is above the signal line.

o   Watchpoints: A divergence where price hits new highs while MACD does not could foreshadow a potential reversal.

 

Dow Jones Industrial Average E-mini (#YM_F):

·       Support: Recent low at 43,445

·       Resistance: Approaching significant highs near 44,000

·       VWAP:

o   Trading above VWAP indicates bullish sentiment; VWAP can act as a dynamic support in an uptrend.

·       MACD:

o   Current: If MACD is above the signal line with increasing histogram bars, it supports a bullish continuation.

 

Russell 2000 E-mini (#RTY_F):

·       Support: Consolidation around 2384.5

·       Resistance: Potential breakout above this level

·       VWAP:

o   Price above VWAP suggests strong market interest; VWAP could act as a short-term support during pullbacks.

·       MACD:

o   Current: A bullish crossover would affirm upward momentum.

 

Gold Futures (#GC_F):

·       Support: Strong at $2,700

·       Resistance: Testing $2,730

·       VWAP:

o   If trading above VWAP, it indicates bullish control; VWAP can be used for entry points in a bullish trend.

·       MACD:

o   Current: Bullish if above the signal line, especially post a bullish crossover.

 

Crude Oil Futures (#CL_F):

·       Support: $65.00

·       Resistance: $70.00

·       VWAP:

o   Above VWAP might suggest bullish pressure; VWAP could serve as a pivot point for price action.

·       MACD:

o   Current: Watch for any bullish or bearish crossovers, which could indicate trend changes or confirmations.

 

10-Year T-Note Futures (#ZN_F):

·       VWAP:

o   Price relative to VWAP can indicate overbought or oversold conditions in the bond market.

·       MACD:

o   Current: Monitor for crossovers; a move above zero line might suggest strengthening bullish momentum.

 

30-Year T-Bond Futures (#ZB_F):

·       VWAP:

o   Similar to #ZN_F, VWAP can be used to assess the day's trading bias.

·       MACD:

o   Current: Look for bullish signals if MACD moves above the zero line or the signal line.

 

 

Fundamental Analysis

  • Economic Indicators: The PMI data will be pivotal. An unexpectedly high manufacturing PMI could boost equities, whereas a miss might lead to a risk-off sentiment, favoring bonds and gold.

  • Policy Impact: The hint of a rate cut has shifted some expectations for Treasuries, potentially lowering yields and supporting bond futures.

  • Geopolitical Influence: Any news related to international tensions could sway energy prices and safe-haven assets like gold.

 

Trend Identification

  • Bullish: #ES_F, #NQ_F, #RTY_F, if support levels hold. #ZN_F and #ZB_F might trend bullish with rate cut expectations.

  • Bearish: #CL_F could face bearish pressure if supply concerns ease; #GC_F bearish if geopolitical tensions subside.

 

Trading Scenarios

  • Bullish Scenario:

    • Target Prices:

      • #ES_F: 6070 if it breaks 6060

      • #NQ_F: 21,250 if it clears 21,200

    • Stop Losses:

      • Below 6037 for #ES_F

      • Below 20,825 for #NQ_F

    • Trade Rating: 7/10, due to strong technical levels and positive economic expectations.

  • Bearish Scenario:

    • Target Prices:

      • #ES_F: 6010 if it falls below 6019

      • #NQ_F: 20,600 if it breaches 20,682

    • Stop Losses:

      • Above 6060 for #ES_F

      • Above 21,000 for #NQ_F

    • Trade Rating: 6/10, with potential for quick downturns if supports fail.

 

Volatility Insights

  • Expected Volatility: Moderate to high, especially around news releases.

  • Strategies:

    • Scalping: Quick trades around support and resistance levels for #ES_F, #NQ_F.

    • Range Trading: For #CL_F and #GC_F if no clear direction post-news.

    • Trend Following: For #ZN_F and #ZB_F with clear signals on yield expectations.

 

Actionable Insights

  • Pre-Market Preparation: Monitor pre-market futures for any significant movements that could set the tone for the open.

  • Open Interest: Analyze changes in open interest for insights on market commitment.

  • Volume Profile: Use to identify high volume nodes for potential support/resistance.

  • News Flow: Stay updated with real-time news, particularly around PMI and oil inventories, adjusting positions accordingly.

 

This strategy is designed to prepare traders for the opening of trading at 9:30 AM EST, offering a structured approach to navigating the futures markets based on comprehensive market analysis.

 

Day Trading Strategy Disclaimer

The content provided in this blog, including day trading strategies, technical analysis, and market insights, is for informational and educational purposes only. The information should not be construed as financial advice, investment recommendations, or an endorsement of any trading strategy. Trading futures, options, and other financial instruments carries a high level of risk and may not be suitable for all investors. Past performance is not indicative of future results.

You should thoroughly evaluate your financial situation and risk tolerance before engaging in any trading activities. It is advised that you consult with a licensed financial advisor or professional who can provide personalized investment advice tailored to your individual needs.

The author and publisher of this blog do not guarantee the accuracy, completeness, or timeliness of the information and will not be liable for any losses or damages, including, but not limited to, any loss of profit or investment, which may arise directly or indirectly from the use of or reliance on such information. By using this blog, you acknowledge and accept these terms and any inherent risks associated with trading.

Risk Warning: Leveraged trading can result in losses that exceed your initial investment. Please trade responsibly.

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Pre-Bell Futures Day Trading Strategy – 29 Nov 2024