$NVDAB
*NVDA Trade Setup - 22 Sept 2026 (Intraday / Swing)*
This is for educational purposes, not financial advice.
*Current Trend:* Bullish. Up +31.66% in 6 months, and up +7.78% in 5 days. It is near the $236 52W High.
*1. Momentum Buy Setup (Intraday):*
- *Entry:* Buy on the dip at $225 - $227
- *Stop Loss:* $221.50 (Today’s Low)
- *Target 1:* $228.50 (Today’s High)
- *Target 2:* $233 - $236 (52W High test)
- Logic: It is opening and holding above the previous close of $222.27; if it breaks out and closes above $228, momentum should increase.
*2. Breakout Re-test Setup (Swing 3-5 days):*
- If it closes daily above $228.50 tomorrow.
- *Entry:* $229 - $231 on the retest
- *SL:* $223
- *Target:* $236.50 / $242
*3. Reversal / Short Scalp (Risky):*
- Only if a double top / rejection wick forms around $228.50.
- *Short Entry:* $227.5 - $228.3
- *SL:* $229.20
- *Target:* $222.9 (Gap fill)
*Risk Management:*
Beta is 2.22, meaning it moves about twice as fast as the overall market. Keep the position size small. Don’t risk more than 1-1.5% loss on a single trade.
*NVDA Trade Setup - 22 Sept 2026 (Intraday / Swing)*
This is for educational purposes, not financial advice.
*Current Trend:* Bullish. Up +31.66% in 6 months, and up +7.78% in 5 days. It is near the $236 52W High.
*1. Momentum Buy Setup (Intraday):*
- *Entry:* Buy on the dip at $225 - $227
- *Stop Loss:* $221.50 (Today’s Low)
- *Target 1:* $228.50 (Today’s High)
- *Target 2:* $233 - $236 (52W High test)
- Logic: It is opening and holding above the previous close of $222.27; if it breaks out and closes above $228, momentum should increase.
*2. Breakout Re-test Setup (Swing 3-5 days):*
- If it closes daily above $228.50 tomorrow.
- *Entry:* $229 - $231 on the retest
- *SL:* $223
- *Target:* $236.50 / $242
*3. Reversal / Short Scalp (Risky):*
- Only if a double top / rejection wick forms around $228.50.
- *Short Entry:* $227.5 - $228.3
- *SL:* $229.20
- *Target:* $222.9 (Gap fill)
*Risk Management:*
Beta is 2.22, meaning it moves about twice as fast as the overall market. Keep the position size small. Don’t risk more than 1-1.5% loss on a single trade.