📉 Primary Setup – CME Gap @ 93,000
Bias: Short-term bearish
Market Logic: Fresh CME gap + weak structure
Entry (Short):
➡️ 93,200 – 93,600 (scale in)
Stop Loss:
❌ 94,900 (clear invalidation above supply)
Targets:
🎯 TP1: 91,800
🎯 TP2: 90,500
🎯 TP3: 88,300 (CME gap fill)
Risk Management:
1–2% risk max
Partial profits at TP1
SL to breakeven after TP1 hit
📉 Alternative Aggressive Setup (Breakdown Play)
Trigger:
4H candle close below 91,000
Entry (Short):
➡️ 90,900 – 91,100
Stop Loss:
❌ 92,300
Targets:
🎯 TP1: 89,500
🎯 TP2: 88,300 (CME gap)
🟢 Invalidation / No Trade Zone
Sustained hold above 95,000
Strong bullish 4H close with volume
➡️ In this case, no short trades. Patience > revenge trading.
🧠 Execution Notes
Market pehle liquidity sweep kare gi
Fake pumps possible before dump
Do NOT chase candles
This is a CME gap magnet trade, not a long-term bias
TL;DR (for lazy legends 😄)
Short near 93k
Protect above 94.9k
Targets = 91.8 → 90.5 → 88.3
Breakdown below 91k = bonus entry