So, I was going back through my loss today and wanted to share where I got it wrong. Buy day was the set up. I did not take into account the level I was buying at was at a premium because I did not have the range framed correctly and I did not target the correct SSL pool for engagement. This is the third week in a row that weekly profile was wrong, but I was still able to end the week in the blue. Rules based trading will always trump analysis.
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