$SOL Higher Timeframe Bias:
Identify overall market condition (Daily / 4H)
74-day consolidation = likely accumulation
Range clearly defined (equal highs & equal lows)
Mark: Liquidity below equal lows (sell-side liquidity)
Liquidity above equal highs (buy-side liquidity)
🎯 Key Levels to Mark:
Premium zone for short👇
Daily FVG around $106 = potential reaction zone
Previous highs/lows internal liquidity pools💸
☠️Liquidity Engineering Expectation:
Wait for this before buying/long SOL:
Sweep of equal lows (sell-side liquidity grab)
and then make CISD, CAB and other confirmation signal for Buying,this is best scenario for best buying🚀
📢 STRUCTURE Entry Model in Timeframe H1 / M30:
After sweep + structure shift or MSS
Wait for: Structure shift in m15-m30 and H1 timeframes for buying after sweep the equal lows liquidity.
Entry: If any one FVG or OB create after structure shift to upside then wait for the test of Zone, and enter with low risk🧪
📉HIGH PROBABILITY Long Setup Plan:
Condition:
Sell-side liquidity taken
CHOCH bullish confirmed
Retracement into bullish FVG/OB
PLUS make any one volume and ICT confirmation setup, that is best ever setup💸
🎯 TARGETS:
Equal highs first
Then higher HTF liquidity🚀
🚨Risk Rules:
Never enter before liquidity sweep + CHOCH
Avoid trading inside consolidation mid range
Always define invalidation (below OB for longs / above OB for shorts)
Wait for confirmation, not prediction☺️
I hope you liked my Efforts🤗❤️

