There were many possible scenarios and we were patient waiting to see what the market will tell us.
Now we see one clear and Most Likely scenario.
1. There is clear 5-3 --> 5 pattern
2. Fits the big picture
3. Safe wide Stop-loss
4. Many possibilities (if right) to add to a position and manage risk
5. Good RRR at least 1.5 (depends how the market will move, we might have to take less than 2 RRR)
Expected Value = 80% * $150 - 20% * $100 = $100
but with adding and managing the risk the expected value will rise