Since I started using this setup, consistency has been the real edge. No chasing, no overtrading—just clean execution. Today again delivered 1.5RR in under 2 hours.
That means: risk $100 → aim for ~$150 profit with proper management.
Core Strategy: Range Trading
Mark the 4H swing high and 4H swing low — this defines your range.
Drop to 15M timeframe:
• Wait for a liquidity sweep (above high / below low)
• Wait for confirmation (clear rejection or structure shift)
Entry → Stop Loss Mapping:
• Entry comes after confirmation
• Stop Loss goes just beyond the sweep high/low
→ This keeps risk tight and logical
→ Typical risk stays small, allowing higher RR potential
Then scale your position based on that risk.
This is not guessing — it’s precision trading with controlled risk.

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