Within a 100K Account Balance the split on Trade & Risk Management = 1/10% - 1/20% margin as an Execution Range, to set up an Order Entry and select a per Trade on Average, to avoid any drawdown hit regarding to Stop Loss & to execute Risk on Management Specifics. Trail Stop efforts are a Focus of Attention to the set up in general when Volatile-Price-Action is involved, mainly because of the usage of an Intraday-Scalp-Position tool on behalf on the Trade Plan in general
# POSITION & Risk Reward | 15 Minutes Time Frame - Measurement on Session * Rally | Short * Retracement | 0.5 & 0.618 * Extension | 0.88 & 1
# POSITION & Risk Reward | 1 Hour Time Frame - Measurement on Session * 20 EMA * 1000 EMA * Retracement
# LOWER DEGREE | 4 Hour Time Frame - Behaviour & Subdivision - Measurement on Session * Ascending Triangle * 12345 Wave Set Up | Bearish & Bullish | Signpost * Date Range | Bar Measurement & Amount of Volume(scale)
Active Sessions on Relevant Range & Elemented Probabilities; * Asian(Ranging) - London(Upwards) - NYC(Downwards) * Weekend Crypto Session
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