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Daily // 4H // 1H // 30m


get context for the set-up (what you want to see: clean impulse, choppy correction)


TREND on entry timeframe determined by SMA if subjective (✓)

IMPULSE registering ADX>25 (✓) ADX50

COIL structure clear formation relative to prior impulse (✓)

Continuation/Correction/Coil Structure

Flag // Rectangle // Pennant // Wedge // Triangle // Diamond

Fibonacci 50%–61.8% // S&R Level // Trend Line // Moving Average

ABC // ABCDE // Extended Combo


Entry @ Break of Structure // Area of Value + Candlesticks

Stop Loss @ +1ATR away from last wick // SMA as guide

Take Profit @ Length of Prior Impulse // Next Area of Value (Daily)

1% capital risked for potentially 2.2R

Entry: 2.98 | Stop loss: 3.06 (-8 points) | Take Profit: 2.8 (+18 points)



If running >1R + swing established, risk halved

If 20% left to take profit, shift to break even

If strong momentum + space to run + aligned with long term view, extend take profit and use trailing stop


NATGAS journal update (Strategy should be to shift to B:E after reaching range support just like EURUSD

Stop Loss

Manual. Reason:

Trailing Stop

Take Profit

Remarks: Strategy should be to shift to B/E after reaching range support just like T3 EURUSD. That ended up being a false break and re-entered a short position again. See T9.