🚀 AI TRADING PROMPTS - THE COMPLETE BATTLE-TESTED PLAYBOOK
📹 Source: Trading Psychology Stick
🎥 Video: Watch on YouTube
💬 Join: our Telegram channel
📌 TABLE OF CONTENTS
1. The 6 Money-Making Prompts (With Chart Analysis)
2. 15-Minute Morning Ritual
3. Advanced Multi-Timeframe Analysis
4. Risk Management Systems
5. Pattern Recognition with Screenshots
6. Multi-Market Scanning
7. Emotional Control Systems
8. Professional Edge Techniques
9. Expensive Mistakes to Avoid
10. Live Trading Examples
📸 SCREENSHOT GUIDE: What Charts to Upload
Essential Screenshots for AI Analysis:
1. Multi-Timeframe Setup (Take 4 screenshots):
o Daily chart: Overall trend & major levels
o 4-Hour chart: Current structure & patterns
o 1-Hour chart: Entry zones & immediate levels
o 15-Minute chart: Precise entry timing
2. What to Include in Each Screenshot:
o ✅ Price action (clean chart)
o ✅ Volume indicator (if available)
o ✅ One momentum indicator (RSI/MACD)
o ✅ Key levels marked
o ❌ Avoid cluttered charts with 10+ indicators
3. Special Situations:
o For Pattern Analysis: Zoom to show full pattern
o For Support/Resistance: Include at least 50-100 candles
o For Trend Analysis: Show 200+ candles
o For Entry Timing: Last 20-30 candles
1. THE 6 MONEY-MAKING PROMPTS (With Chart Analysis)
📊 Prompt 1: Complete Market Analysis with Screenshots
Basic Version:
"Should I buy EUR/USD?"
Professional Version with Chart Analysis:
"Analyze these EUR/USD charts for London session trading:
[UPLOAD 4 SCREENSHOTS: Daily, H4, H1, M15]
Current price: 1.0856
Account size: $5,000
Risk per trade: 1% ($50)
ANALYZE EACH TIMEFRAME:
1. Daily: What's the major trend and key levels?
2. H4: Any patterns forming? Where's the momentum?
3. H1: Best entry zones in next 4-8 hours?
4. M15: Precise entry trigger to wait for?
SPECIFIC REQUIREMENTS:
- Entry zone (not just one price)
- Stop loss based on structure (not arbitrary pips)
- 3 targets with reasoning
- Confluence factors across timeframes
- Red flags to avoid this trade
Rate this setup 1-10 and explain why."
🎯 Prompt 2: Multi-Timeframe Level Analysis
Upload Requirements:
Daily chart (last 3 months)
H4 chart (last 2 weeks)
H1 chart (last 5 days)
The Prompt:
"Analyze these charts to find high-probability levels:
[UPLOAD 3 SCREENSHOTS as specified above]
FIND THESE SPECIFIC LEVELS:
1. MAJOR LEVELS (Daily):
- Untested monthly highs/lows
- Strong rejection zones
- Round numbers with history
2. INTERMEDIATE LEVELS (H4):
- This week's range extremes
- Broken support/resistance flips
- Trend line confluences
3. INTRADAY LEVELS (H1):
- Today's Asian range
- Yesterday's POC (Point of Control)
- Liquidity grabs zones
For each level provide:
- Exact price
- Strength (1-5 stars)
- Expected reaction (bounce/break)
- Timeframe it matters on
- How to trade it
Which 3 levels offer the best risk/reward TODAY?"
💰 Prompt 3: Entry Analysis with Multiple Timeframes
Screenshot Setup:
Take these 4 screenshots:
1. H4: Shows the pattern/setup context
2. H1: Shows entry zone development
3. M15: Shows precise entry timing
4. M5: Shows micro structure (optional)
The Power Prompt:
"Design entries using these multi-timeframe charts:
[UPLOAD YOUR 4 SCREENSHOTS]
Trading parameters:
- Account: $10,000
- Risk this trade: $100 (1%)
- Session: London Open
- Style: Day trade (not scalp)
CREATE 3 ENTRY STRATEGIES:
1. MOMENTUM ENTRY:
- H4 shows: [momentum direction]
- H1 trigger: [what to wait for]
- M15 confirmation: [specific signal]
- Entry: [exact zone]
- Stop: [structure-based]
2. PULLBACK ENTRY:
- Wait for pullback to: [level]
- Confirmation across timeframes
- Better risk/reward
- Entry technique
3. BREAKOUT ENTRY:
- Key level to break: [price]
- Volume confirmation needed
- Retest requirements
- Chase or wait?
Show position size for each.
Which entry has highest win probability?"
📰 Prompt 4: News + Technical Confluence
The Advanced News Prompt:
"Combine news with these technical charts:
[UPLOAD H4 and H1 CHARTS]
Upcoming events:
- 8:30 AM: ECB Speech
- 10:00 AM: US CPI Data
- 2:00 PM: FOMC Minutes
ANALYZE:
1. Current technical setup vs news risk
2. Should I trade before/after news?
3. How might news confirm/destroy setup?
4. Volatility expectations
5. Position size adjustments
CREATE ACTION PLAN:
- Before news: Do X
- If news is bullish: Do Y
- If news is bearish: Do Z
- Stop placement considering volatility
Is this a 'wait for news' or 'trade now' setup?"
📋 Prompt 5: Complete Trading Plan with Visuals
What to Prepare:
Screenshots needed:
1. Daily chart - mark major levels
2. H4 chart - mark your setup
3. H1 chart - mark entry zone
4. Economic calendar screenshot
The Master Planning Prompt:
"Create a complete trading plan using these charts:
[UPLOAD 4 SCREENSHOTS/IMAGES]
Build me a professional plan:
1. MULTI-TIMEFRAME BIAS:
- Daily saying: ___
- H4 saying: ___
- H1 saying: ___
- Confluence or conflict?
2. EXACT TRADE SCENARIOS:
A) Primary Plan (60% probability)
- Entry: ___
- Stop: ___
- Target 1: ___
- Target 2: ___
B) Alternative (30% probability)
- If price does X instead
- Adjusted levels
C) Invalidation (10% probability)
- What kills this trade
- When to abandon
3. RISK PARAMETERS:
- Position size calculation
- Maximum loss scenario
- Correlation exposure
- News event adjustments
4. MANAGEMENT RULES:
- When to move stop to breakeven
- How to trail winners
- Partial profit levels
- Weekend exposure rules
Rate plan quality 1-10 with improvements."
⚠️Prompt 6: Risk Analysis with Chart Context
Screenshot Requirements:
1. Current setup chart (H1 or H4)
2. Higher timeframe context (Daily)
3. Correlation pair chart (if applicable)
The Risk-First Prompt:
"Analyze risk for this trade setup:
[UPLOAD 3 CHARTS]
Current plan:
- Pair: EUR/USD
- Direction: Long
- Entry: 1.0850
- Stop: 1.0820
- Target: 1.0920
IDENTIFY ALL RISKS:
1. TECHNICAL RISKS:
- What invalidates on each timeframe?
- Hidden resistance above?
- Support failure below?
2. FUNDAMENTAL RISKS:
- News in next 24 hours?
- Correlation breaks?
- Market regime changes?
3. EXECUTION RISKS:
- Spread widening times?
- Slippage probability?
- Liquidity concerns?
4. PORTFOLIO RISKS:
- Other positions correlated?
- Total USD exposure?
- Account heat if all stops hit?
RATE EACH RISK 1-10.
Should I take this trade or wait?
What would make it safer?"
2. THE 15-MINUTE MORNING RITUAL (5:45-6:00 AM)
🌅 Complete Morning Routine with Charts
Preparation (5:40 AM):
Open these charts:
- EUR/USD (D, H4, H1)
- GBP/USD (D, H4, H1)
- USD/JPY (D, H4, H1)
- DXY (Daily)
Take screenshots of interesting setups
5:45 AM - ChatGPT Prompt:
"Good morning. Trading account: $[AMOUNT].
Risk today: $[AMOUNT].
Give me the 5-minute market brief:
1. What moved overnight and why?
2. Key levels broken/held?
3. Major news today with times?
4. Risk-on or risk-off mode?
5. Best pair to focus on?
Keep it actionable, not theoretical."
5:50 AM - Claude Prompt (with charts):
"Analyze these 3 chart sets for London open:
[UPLOAD 9 SCREENSHOTS - 3 pairs × 3 timeframes each]
For each pair, tell me:
1. Trend alignment score (1-10)
2. Immediate trade setup (if any)
3. Key level to break/hold
4. Entry technique if triggered
5. Why it might fail
Rank them 1-2-3 by opportunity.
Which one would you bet your money on?"
5:55 AM - Gemini Prompt:
"Quick sentiment check for my trades:
Watching: [Your 3 pairs]
Bias: [Your direction for each]
Tell me:
1. What's the crowd doing?
2. Any contrarian opportunities?
3. Correlation warnings?
4. Volatility expectations?
5. Session-specific edges?
Am I swimming with or against the tide?"
5:58 AM - Synthesis Prompt (Any AI):
"Based on all analysis, create my London battle plan:
TRADE 1 (Primary):
- Pair: ___
- Entry: ___
- Stop: ___
- Target: ___
- Size: ___
TRADE 2 (Backup):
[Same format]
NO-GO ZONES:
- Avoid trading during: ___
- Stay away from: ___
SUCCESS CRITERIA:
- Take profits if up $___
- Stop trading if down $___
- Maximum 3 trades
Simple, executable, specific."
3. ADVANCED MULTI-TIMEFRAME ANALYSIS
🧠 The Triple Screen Analysis
Setup Your Charts:
Prepare 3 screenshots per pair:
1. Weekly: Trend direction
2. Daily: Trade setup
3. H4 or H1: Entry timing
The Advanced MTF Prompt:
"Perform triple screen analysis on these charts:
[UPLOAD 3 TIMEFRAME CHARTS]
SCREEN 1 (Weekly):
- Major trend direction?
- Key levels to respect?
- Momentum status?
SCREEN 2 (Daily):
- Trade setup quality?
- Risk/reward ratio?
- Pattern confirmation?
SCREEN 3 (H4/H1):
- Entry trigger present?
- Stop placement logic?
- Timing optimization?
CONFLUENCE SCORE:
- How many timeframes agree?
- Conflicting signals?
- Overall trade grade?
Give me specific entry/stop/target or tell me to pass."
📊 The Institutional Flow Analysis
Chart Requirements:
1. Daily chart with volume
2. H4 chart with price action
3. Market profile or volume profile (if available)
4. Optional: Footprint chart
The Flow Prompt:
"Analyze institutional activity in these charts:
[UPLOAD YOUR CHARTS]
IDENTIFY:
1. ACCUMULATION/DISTRIBUTION:
- Volume patterns showing?
- Price action confirms?
- Time spent at levels?
2. STOP HUNTS:
- Recent liquidity grabs?
- Obvious stop levels?
- Failed breakouts?
3. SUPPLY/DEMAND ZONES:
- Fresh zones untested?
- Institutional levels?
- Reaction probability?
4. SMART MONEY TRACKS:
- Where are they buying/selling?
- Defending which levels?
- Trapping retail where?
CREATE INSTITUTIONAL TRADE:
- Trade with or against them?
- Entry after what confirmation?
- Protective stops where?
- Targets based on what?
Is this an A+ institutional setup?"
4. PATTERN RECOGNITION WITH SCREENSHOTS
🔍 Complete Pattern Analysis
Screenshot Guide:
For pattern analysis, capture:
1. Wide view: Shows full pattern formation
2. Zoom view: Shows current price action
3. Volume: Shows participation
4. Indicator: Shows momentum divergence
The Pattern Master Prompt:
"Analyze this chart pattern in detail:
[UPLOAD 2-4 SCREENSHOTS AS DESCRIBED]
PATTERN IDENTIFICATION:
1. What pattern is this?
2. Completion percentage?
3. Textbook or variation?
4. Volume confirmation?
QUALITY METRICS:
1. Pattern clarity (1-10)
2. Location quality (1-10)
3. Volume support (1-10)
4. Timeframe reliability
TRADING PLAN:
1. Entry technique:
- Aggressive entry at?
- Conservative wait for?
2. Stop loss:
- Pattern failure at?
- Money stop at?
3. Targets:
- Measured move to?
- Stretch target at?
FAILURE SCENARIOS:
- What invalidates pattern?
- False breakout signs?
- When to abandon?
Is this pattern worth trading or should I wait for better?"
📈 Multi-Pattern Confluence Scanner
The Scanner Prompt:
"Scan these charts for ALL patterns:
[UPLOAD H4, H1, M30 CHARTS]
FIND EVERYTHING:
1. Classical Patterns:
- Triangles
- Flags/Pennants
- H&S formations
- Double tops/bottoms
2. Advanced Patterns:
- Harmonics
- Wolfe Waves
- Three drives
- Expanding formations
3. Candlestick Patterns:
- Reversal patterns
- Continuation patterns
- Indecision patterns
4. Price Action Patterns:
- Pin bars at levels
- Inside bars
- Engulfing patterns
- False breaks
RANK ALL PATTERNS:
1. Highest probability:
2. Best risk/reward:
3. Easiest to execute:
Which pattern would a pro trade first?"
5. ENHANCED RISK MANAGEMENT SYSTEMS
💰 Position Size Calculator with Correlation
The Complete Risk Prompt:
"Calculate my position size with full risk analysis:
ACCOUNT DETAILS:
- Balance: $10,000
- Risk per trade: 1% ($100)
- Current open trades:
* EUR/USD: Long 0.5 lots
* GBP/USD: Long 0.3 lots
NEW TRADE:
- Pair: EUR/JPY
- Entry: 158.50
- Stop: 158.00 (50 pips)
CALCULATE:
1. Basic position size
2. Correlation-adjusted size
3. Portfolio heat if all stops hit
4. Optimal size considering:
- Time of day volatility
- News events today
- Week/month performance
RECOMMENDATIONS:
- Aggressive size: ___
- Normal size: ___
- Conservative size: ___
- Skip trade if: ___
What would Kelly Criterion suggest?"
<a id="professional"></a>6. PROFESSIONAL EDGE TECHNIQUES
🏦 The Market Maker Trap Identifier
Chart Setup:
Need these specific views:
1. M15 chart: Last 24 hours
2. M5 chart: Last 4 hours
3. Volume/tick chart if available
The MM Trap Prompt:
"Identify market maker traps in these charts:
[UPLOAD YOUR PREPARED CHARTS]
FIND THESE TRAPS:
1. STOP HUNTS:
- Morning spike above/below
- Round number raids
- News spike fakeouts
2. ACCUMULATION TRAPS:
- Slow grind up/down
- Low volume drift
- Before major moves
3. DISTRIBUTION TRAPS:
- Failed breakouts
- Double tops/bottoms
- Exhaustion patterns
4. TIME TRAPS:
- London open fakes
- NY reversal setups
- Fix-related moves
For each trap found:
- Type of trap
- Target victims (retail)
- How to avoid
- How to profit from it
What's the next likely trap today?"
7. EXPENSIVE MISTAKES ANALYZER
❌ Trade Post-Mortem with Charts
After a Loss, Screenshot:
1. Entry timeframe chart
2. Higher timeframe for context
3. Chart at time of stop out
4. Current chart (lessons learned)
The Learning Prompt:
"Analyze my losing trade for lessons:
[UPLOAD 4 CHARTS AS SPECIFIED]
TRADE DETAILS:
- Entry: [price] at [time]
- Stop: [price] (hit)
- Target: [price] (missed)
- Loss: $[amount]
ANALYZE:
1. ENTRY MISTAKES:
- Too early/late?
- Wrong timeframe?
- Ignored what signals?
2. STOP MISTAKES:
- Too tight/wide?
- Wrong placement?
- Better alternative?
3. ANALYSIS MISTAKES:
- Missed what clues?
- Bias problems?
- Cherry-picked data?
4. EXECUTION MISTAKES:
- FOMO entry?
- Revenge trade?
- Position size?
LESSONS:
1. New rule needed: ___
2. Checklist addition: ___
3. Would AI have caught this?
How do I prevent this exact mistake forever?"
8. LIVE TRADING EXAMPLES
📺 Real-Time Trade Management
Live Trade Prompt Series:
When Entering:
"I'm about to enter this trade:
[UPLOAD CURRENT CHART]
- Pair: EUR/USD
- Direction: Long
- Entry: 1.0850
- Stop: 1.0830
- Target: 1.0890
Last check:
1. Anything I'm missing?
2. Better entry nearby?
3. News in next hour?
4. Size appropriate?
5. Green light or abort?
Quick answer, market is moving!"
When in Profit:
"Trade update - in profit:
[UPLOAD CURRENT CHART]
- Entry: 1.0850
- Current: 1.0870 (+20 pips)
- Stop: still at 1.0830
- Target: 1.0890
Decision needed:
1. Move stop to breakeven?
2. Take partial profits?
3. Hold for full target?
4. Trail stop where?
5. Add to position?
What would a pro do here?"
When in Drawdown:
"Trade going against me:
[UPLOAD CURRENT CHART]
- Entry: 1.0850
- Current: 1.0840 (-10 pips)
- Stop: 1.0830 (-20 pips)
Options:
1. Hold and hope?
2. Cut loss early?
3. Add to position?
4. Move stop?
5. Hedge it?
What's the smart move?
Is my original thesis still valid?"
🎯 QUICK REFERENCE: BEST PROMPTS BY SITUATION
Daily Must-Use Prompts:
Pre-Market (5 min):
"5-minute brief: What moved overnight? Key levels today? Major news? Best opportunity?"
Post-Analysis (10 min):
"Here are my charts [UPLOAD]. Rate these 3 setups 1-10. Which would you trade with real money?"
Risk Check (2 min):
"Current exposure: [list trades]. Want to add [new trade]. Safe or too much correlation?"
End of Day (5 min):
"Today's results: [wins/losses]. What patterns in my trading? Main lesson? Tomorrow's focus?"
⚡ POWER TIPS FOR MAXIMUM RESULTS
1. Screenshot Quality Matters:
o Clean charts > Cluttered charts
o Multiple timeframes > Single view
o Include volume when possible
o Mark your levels before uploading
2. Prompt Stacking:
o Start broad, then narrow
o Use follow-up questions
o Challenge AI's analysis
o Ask "what could go wrong?"
3. AI Arbitrage:
o Same chart to all 3 AIs
o Compare analyses
o Truth is often in agreement
o Disagreement = stay out
4. Documentation:
o Save winning prompts
o Track which work best
o Build your prompt library
o Share with community
🚨 FINAL WARNINGS
1. ALWAYS verify prices - AI can hallucinate levels
2. NEVER trade solely on AI - It's a tool, not a guru
3. BACKTEST everything - Past performance matters
4. START SMALL - $10 trades until proven
5. RISK MANAGEMENT FIRST - Survival over profits
📈 REALISTIC EXPECTATIONS
With these prompts + proper charts:
✅ Analysis time: 75% faster
✅ Pattern recognition: 10x better
✅ Risk management: Consistently applied
✅ Win rate improvement: 15-25%
✅ Daily target: 0.5-1% (NOT 300%!)
Remember: The magic isn't in the AI - it's in asking the right questions with the right context!
Join 14,000+ traders sharing prompts and charts: @TradingPsychologyStick
Final Note: Print this guide. Bookmark it. Use it every single day. The traders making money aren't
smarter - they're just using better tools better.*