Disliked{quote} I have only one trading style i.e. conservative in my money management strategy. I don't trade with risk 15% to 30% like Big E. I risk 1% to 2% maximum per position and never risk more than 10% when I trade multiple pairs concurrently. I had explained this before. The use of 0.5xADR(100) days as the order distance between trades is for those trading with small accounts and the minimum lot size is 0.01lot. For those trading with large accounts and use %risk per trade, you can use risk based to calculate your trade lot size. When you use this...Ignored
Just noticed this post.
when taking a m15 retracement from the H4, I am assuming we are taking the m15 retracements in the London/New York session and making sure there is no m15 master candle/WRB in place? please correct me if im wrong
also are the profit targets for these m15 trades based on the original H4 setup profit target