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7. Old High or Low 6. Rejection Block 5. Bearish Order Block 4. Fair Value Gap 3. Liquidity Void 2. Bearish Breaker 1. Bearish Mitigation Block ==PREMIUM== ==DISCOUNT== 1. Bullish Mitigation Block 2. Bullish Breaker 3. Liquidity Void 4. Fair Value Gap 5. Bullish Order Block 6. Rejection Block 7. Old Low or High This is the PD Array Matrix We look for these items in the IPDA Range

I have a proven model. It fits my personality. I know it well. I dont need to chase other methods. I understand the periods when not to do anything. Contrast that with your desire to swing to something else between drawdown or lulls in Price Action.

If I were to restart at this very moment... I'd trade Forex. I'd daytrade. It works. It's consistent. I don't have gap risk or overnight concerns. There is nothing I'd do differently than I am right now. What does this imply?

If you had a chance to start all over again. Today... this moment... What market and style would you go with?

One can lose money in this environment or they can have a long weekend. Some chose to short UsdCad today.

Steak prices are limit up today

When market is not delivering... it's down time. Watch a rerun.

I been around long enough to know... this too shall pass. Endure. No exceptions.

If you are learning to trade in this environment - and endure the difficulties... you stand to be a remarkable Trader. Many can get on here and pretend to have it all figured out and tout how easy it is... but they are bullshit. I am working harder than I ever have in my setups

KZindicator-Full Version1.docx5.25 MB

2nd link dropping now

Reminder, the special zoom session will be taking place in an hour from now

Price is on a very discount array, so I would like to see price going long and reaching the 40 days IPDA high.

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#EURCAD

I would like to see price running up to a premium array and taking the liquidity above 147.20, after that I'll go for the Sell Stops.

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