Trading Checklist (Step-by-Step)
1. Stock Selection (WHAT to Trade)
1. Stock Selection (WHAT to Trade)
- ☐ Average daily volume > 2M shares
- ☐ Options chain liquid (tight bid/ask < $0.20)
- ☐ ATR% > 2% (stock actually moves)
- ☐ IV Rank between 30–80 (not dead, not extreme)
- ☐ Catalyst present (earnings, breakout, news, macro event)
- ☐ Institutional activity (large OI near ATM strikes, unusual options flow)
- ☐ Stock (simple exposure)
- ☐ Options (leverage with limited risk)
- ☐ ETF (broad exposure, sector play)
- ☐ Futures (hedging, overnight exposure)
- ☐ Trend: Higher highs/higher lows = bullish; lower highs/lower lows = bearish
- ☐ RSI > 50 rising (bullish) / RSI < 50 falling (bearish)
- ☐ DMI/ADX: +DI > –DI (uptrend) / –DI > +DI (downtrend), ADX > 20 confirms strength
- ☐ Volume supports breakout or breakdown
- ☐ Macro backdrop checked (earnings, Fed, CPI, jobs report)
- ☐ Entry near support (long) or resistance (short)
- ☐ Confirmation: breakout + volume or retest holds
- ☐ Holding period plan:
- Options: 2–14 days swing / intraday for scalps
- Stock: days to weeks
- ☐ Exit triggers:
- Take profit target (20–30% options gain, 2x ATR move)
- Stop loss (technical break or –30% option premium)
- ☐ Position size = < 2–5% of account
- ☐ Max risk per trade defined
- ☐ Stop loss placed or mental stop set
- ☐ Hedge plan:
- Long stock → buy puts
- Long calls → sell higher strike (spread)
- ☐ Adjustments: roll forward or scale out profits if move slows
- ☐ Record reason for entry
- ☐ Record reason for exit
- ☐ Outcome: win/loss %
- ☐ Lessons learned → refine playbook
- Screen stocks → liquidity, volatility, catalyst.
- Choose instrument (stock, option, ETF, futures).
- Set directional bias (trend, RSI, DMI, volume).
- Plan entry and exit BEFORE trade.
- Define risk → position size, stop, hedge.
- Enter trade.
- Manage trade: trail stop, scale profits, adjust.
- Exit at target or stop.
- Review and log.
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