This tutorial aims to demonstrate my approach to the market, focusing specifically on identifying explosive moves while exercising caution and preserving capital by staying out of the market when trade setups fail to materialize. This aspect constitutes approximately 80% of my overall strategy.
While I won't delve into the specific details of why my chart is laid out in a particular manner, the anticipation of rapid moves, my preference for trading during the New York session, or the exact trade entry, I will provide a comprehensive explanation of the key principles and techniques employed.
By omitting certain specifics, such as the layout rationale, the anticipation of rapid moves, the New York session's significance, and precise trade entry points, I aim to maintain the integrity of my strategy while ensuring that viewers understand the concepts and can apply them effectively.