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Again same trade: Sell London and Buy New York open @ the 96 pullback pivot. They may dip the figure but its just to sweep the stops. Same old Grandma 1:4 RR swing it back to 97+ Top of Range level.
Did you catch any of the volatility over the past two days? I would be interested to see how your entries work in a fast moving, volatile day. I am still a little unclear on how you decide which support/resistance triggers the three level entry. Is is any support or resistance, or is it subjective? Thanks.
I did - both were pretty outstanding days. Wed was able to stay with the downtrend for several trades, and yesterday not quite as easy, but still a good day.
As for your questions, no, it is not any S/R, or subjective. Pretty much rule based on specific patterns and entry triggers. I know I had promised to clarify everything, but as I mentioned, a little more difficult clearly writing out step by step what I see or am looking for. A little torn on this journal as well... originally had intended it to be for accountability for myself, and it has been helpful to a certain degree in having to expose myself with bad decisions or bad trades, but it has been a bit distracting posting during the trading day - especially "live trades". Guess I wanted transparency in my trading and not just be a hindsight trader. Anyway, realized that doesn't much matter - my accountability is to myself, and my account
If there are specific questions or things I can clarify, let me know - no holy grails here, and have no issue sharing what I do. And will continue to post daily recaps as time permits.