If I'm understanding the rules correctly...
We SELL when price open in area of interest (between today's high and today H1 highest open) and when BID price move down to reach H1 Highest open level, initial stop place at today's high. then money management takes over.
We BUY when price open in area of interest (between today's low and today H1 Lowest open) and when ASK price moves up to H1 Lowest open level, initial stop place at today's low. then money management takes over.
there's no TP set, all based on trailing stops so Risk reward is per trade basis and not strictly defined on entry.
And be cautious when price opens above yesterday's high or below yesterday's low (maybe don't trade or trade with lower risk percent)
Did I miss anything?
We SELL when price open in area of interest (between today's high and today H1 highest open) and when BID price move down to reach H1 Highest open level, initial stop place at today's high. then money management takes over.
We BUY when price open in area of interest (between today's low and today H1 Lowest open) and when ASK price moves up to H1 Lowest open level, initial stop place at today's low. then money management takes over.
there's no TP set, all based on trailing stops so Risk reward is per trade basis and not strictly defined on entry.
And be cautious when price opens above yesterday's high or below yesterday's low (maybe don't trade or trade with lower risk percent)
Did I miss anything?
Programming for a better future.