Here is an example of the last trade and how I had my plan before I entered. I had around bar 728 or so right as we first touched the -1 SD band.
My first and second cars had overall targets that would have lead to a 1:4 risk:reward. Even with the cut potential the trade was still 1:2 which is better then a scalp to me (1:1).
Black box is entry window... Outside of that window trade would have been invalid. Something I am working on is if I miss that window, whether that price is still valid on a later pullback. I don't know about that yet.
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