NASDAQ breakout plan for NY open
Watching first 15m range break with volume confirmation. Entry only after retest and failed rejection. Risk fixed to 0.5R because volatility is still elevated.
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Watching first 15m range break with volume confirmation. Entry only after retest and failed rejection. Risk fixed to 0.5R because volatility is still elevated.
I now split session into pre-news and post-news models. Curious how others handle sizing and whether you treat those days as separate playbook.
Scored my process instead of PnL: setup quality 8/10, discipline 6/10, exits 7/10. This keeps me focused on repeatability, not noise.
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