Killpips Free KVO Levels 14/04/2025

You can access the guide on how to use Killpips KVOs through this link: https://killpips.com/killpips-assistant-daily-weekly-indicator/

$YM1!: vix r1, 41648, vix r2, 41722, vix s1, 39165, vix s2, 39093, 1DexpMAX, 41779, 1DexpMIN, 39036, RD0, 40636, RD1, 40865, RD2, 41322, SD0, 40171, SD1, 39942, SD2, 39493, HV, 40399, VAH, 42048, VAL, 38758, range daily max, 42228, range daily min, 38570 setting 27k – 232k
$GC1!: vix r1, 3301, vix r2, 3305, vix s1, 3187, vix s2, 3184, 1DexpMAX, 3307, 1DexpMIN, 3181, RD0, 3255, RD1, 3265, RD2, 3286, SD0, 3233, SD1, 3223, SD2, 3203, HV, 3244, VAH, 3319, VAL, 3169, range daily max, 3328, range daily min, 3161 setting 32k – 273k
$SPX: vix r1, 5559, vix r2, 5571, vix s1, 5169, vix s2, 5159, 1DexpMAX, 5578, 1DexpMIN, 5150, RD0, 5402, RD1, 5436, RD2, 5508, SD0, 5326, SD1, 5293, SD2, 5221, HV, 5365, VAH, 5623, VAL, 5106, range daily max, 5651, range daily min, 5077 673M – 5B
$TSLA: range daily max, 260.16, VAH, 257.67, 1DexpMAX, 253.94, vix r2, 253.20, vix r1, 252.20, RD2, 247.73, RD1, 241.52, RD0, 238.54, HV, 235.31, SD0, 232.07, SD1, 229.09, SD2, 222.88, vix s1, 218.41, vix s2, 217.41, 1DexpMIN, 216.70, VAL, 212.94, range daily min, 210.46
$META: range daily max, 577.00, VAH, 573.65, 1DexpMAX, 568.64, vix r2, 567.63, vix r1, 566.30, RD2, 560.28, RD1, 551.92, RD0, 547.91, HV, 543.57, SD0, 539.22, SD1, 535.21, SD2, 526.85, vix s1, 520.83, vix s2, 519.50, 1DexpMAX, 518.49, VAL, 513.48, range daily min, 510.14

 

$TSLA Trading Plan

2. Scenarios
Bullish Scenario

Entry: Above RD0 (238.54)

Targets:

RD1 (241.52) → RD2 (247.73)

Extended: VIX R1 (252.20) → VIX R2 (253.20) → 1DexpMAX (253.94) → VAH (257.67) → Range Max (260.16)

Stop-loss: Below RD0, or tight below HV if volatility is low.

Bearish Scenario

Entry: Below SD0 (232.07)

Targets:

SD1 (229.09) → SD2 (222.88)

Extended: VIX S1 (218.41) → VIX S2 (217.41) → 1DexpMIN (216.70) → VAL (212.94) → Range Min (210.46)

Stop-loss: Above SD0

Contrarian Setups

Buy: Fails at SD2, VIX S2, VAL

Sell: Fails at RD2, VIX R2, VAH

SL/TP: Volatility-dependent

Range Trading

Range: RD0 (238.54) ↔ SD0 (232.07)

Long near 232.07–229.09,

Short near 238.54–241.52

$META Trading Plan

2. Scenarios
📈 Bullish Scenario

Entry: Breakout or retest of RD0 (547.91)

Targets:

RD1 (551.92) → RD2 (560.28)

Extended: VIX R1 (566.30) → VIX R2 (567.63) → 1DexpMAX (568.64) → VAH (573.65) → Range Max (577.00)

Stop-loss: Below RD0 or HV

📉 Bearish Scenario

Entry: Below SD0 (539.22)

Targets:

SD1 (535.21) → SD2 (526.85)

Extended: VIX S1 (520.83) → VIX S2 (519.50) → 1DexpMIN (518.49) → VAL (513.48) → Range Min (510.14)

Stop-loss: Above SD0

🔁 Contrarian Operations

Buy: Failure setups at SD2, VIX S2, VAL

Sell: Failure setups at RD2, VIX R2, VAH

SL/TP: Based on volatility, ideally beyond wick extremes

🔄 Range Scenario

Range Zone: RD0 (547.91) ↔ SD0 (539.22)

Buy: Near SD0–SD1 (539.22/535.21)

Sell: Near RD0–RD1 (547.91/551.92)

$SPX Trading Plan

1. Bias
Closing price: 5363

HV level: 5365

2. Scenarios
Bullish Scenario

Entry: Above RD0 (5402) or on successful retest from above.

Targets:

First: RD1 (5436)

Second: RD2 (5508)

Extended: VIX R1 (5559) → VIX R2 (5571) → 1DexpMAX (5578) → Range Max (5651)

Stop-loss: Below RD0 (5402) or HV (5365) depending on volatility.

Bearish Scenario

Entry: Below SD0 (5326) or on retest from below.

Targets:

First: SD1 (5293)

Second: SD2 (5221)

Extended: VIX S1 (5169) → VIX S2 (5159) → 1DexpMIN (5150) → Range Min (5077)

Stop-loss: Above SD0 (5326) or HV (5365)

Contrarian Operations

Buy: On failed breakdowns near SD2, VIX S2, 1DexpMIN, VAL

Sell: On failed breakouts near RD2, VIX R2, 1DexpMAX, VAH

Stop-loss: 5–10 pts beyond failure level, adjusted for volatility.

Range Scenario

If price stays between RD0 (5402) and SD0 (5326):

Buy near SD0/SD1 (5326/5293)

Sell near RD0/RD1 (5402/5436)
$GC1! Trading Plan
Asset Details:

Spot Price: 3.241 (assumed scaled to 3241 for consistency)

HV: 3244

Key Levels:

Resistance:
• RD0 = 3255
• RD1 = 3265
• RD2 = 3286

Support:
• SD0 = 3233
• SD1 = 3223
• SD2 = 3203

Additional Levels:
• VAH = 3319
• VAL = 3169
• 1DexpMAX = 3307
• 1DexpMIN = 3181

VIX Levels:
• VIX R1 = 3301, R2 = 3305
• VIX S1 = 3187, S2 = 3184

Bias:
– The spot (assumed ~3241) is just below HV (3244) → Slight Bearish Bias.

Operational Scenarios:

Bullish Scenario:

Entry: Enter long if price rises above or retests from above RD0 (3255).

Targets:
– Target 1 at RD1 (3265)
– Target 2 at RD2 (3286)
– Extended targets up to 1DexpMAX (3307) or VAH (3319).

Stop-Loss: Place a stop just below RD0; widen the stop according to volatility (using VIX R1/R2).

Bearish Scenario:

Entry: Enter short if price drops below or fails support at SD0 (3233).

Targets:
– Target 1 at SD1 (3223)
– Target 2 at SD2 (3203)
– Extended targets down to 1DexpMIN (3181) or VAL (3169).

Stop-Loss: Place a stop just above SD0, adjusting for volatility (using VIX S1/S2).

Range Scenario:

Context: If GC1 trades laterally between RD0–RD1 (3255–3265) and SD0–SD1 (3233–3223), use a range strategy.

Trade: Buy near support and short near resistance.

Risk Management: Utilize the daily range (3161–3228) to calibrate stops and profit targets.

Contrarian Operations:

Identification: Look for failed tests at resistance (RD1/RD2) or support (SD1/SD2) with confirmation from VIX and 1Dexp levels.

Trade: Enter contrarian trades with stops and extended targets adjusted for volatility.
$YM1! Trading Plan
Asset Details:

Spot Price: 40,617

HV: 40,399

Daily Range: 38,570 – 42,228

Key Levels:

Resistance:
• RD0 = 40,636
• RD1 = 40,865
• RD2 = 41,322

Support:
• SD0 = 40,171
• SD1 = 39,942
• SD2 = 39,493

Additional Levels:
• VAH = 42,048
• VAL = 38,758
• 1DexpMAX = 41,779
• 1DexpMIN = 39,036

VIX Levels:
• VIX R1 = 41,648, R2 = 41,722
• VIX S1 = 39,165, S2 = 39,093

Bias:
– The spot (40,617) is above HV (40,399), indicating a bullish bias.

Operational Scenarios:

Bullish Scenario:
• Entry: Enter long if the price breaks above or retests from above RD0 (40,636).
• Targets:
– Target 1 at RD1 (40,865)
– Target 2 at RD2 (41,322)
– Extended targets toward 1DexpMAX (41,779) or VAH (42,048).
• Stop-Loss: Place a stop just below RD0; widen stops with reference to VIX R1/R2.

Bearish Scenario:
• Entry: Enter short if the price falls below SD0 (40,171) or fails to hold support.
• Targets:
– Target 1 at SD1 (39,942)
– Target 2 at SD2 (39,493)
– Extended targets toward 1DexpMIN (39,036) or VAL (38,758).
• Stop-Loss: Set a stop-loss just above SD0, adjusting per volatility (using VIX S1/S2).

Range Scenario:
• Context: If YM1 trades within the range defined approximately by RD0–RD1 (40,636–40,865) and SD0–SD1 (40,171–39,942), trade the range accordingly.
• Trade: Buy near the support and sell/short near resistance.
• Risk Management: Use the daily range (38,570–42,228) to set stops and profit targets.

Contrarian Operations:
• Identification: Look for reversals or failed tests at key levels (e.g. RD1/RD2 or SD1/SD2) combined with signals from the VIX and 1Dexp.
• Trade: Initiate contrarian positions with stops and targets extended to incorporate volatility.