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This is my premarket prep for today’s European session for GOLD. This prep builds off of my weekly trade plan I made here:
The purpose of a premarket prep is to find setups within my weekly trade plan bias
Larger Timeframe
- MN
- Price trading within MN QHi and MN Supply
- Price started trading below MN supply
- W1
- Price formed a Doji with longer selling wick within W1 QHi and W1 Supply
- Price trading below last week’s body and range and W1 QHi
- Possible developing W1 Evening Star
Narrative
- D1
- D1 Inside Bar with longer buying wick reacting off D1-C‑D 1906.474
- H4
- H4 consolidation and break higher (after a fake out down) rejecting H4 QLo currently trading at H4 VWAP in DT
- Possible H4 RBR
- Trend
- Trend is Up 2/3
- Market Profile
- Values in DT with price currently trading above
- LN Open
- 0.30xASR Above Value, Outside Range
- Moderate to Large Imbalance
- Asia extended higher
- 0.19xASR Tight IBR
- LN session wider than NY
Hypos
- Hypo 1
- Long
- Late-Sustained Auction
- Hypo 2
- Short
- Auction Fade
- Hypo 3
- Short
- Failed Auction
Clarity
- 3
Additional Notes
- N.A.
Mindful Trading (lack of sleep?)
- Feeling okay
Focus Points for trading development
- Monthly Goals
- No momentum trades on Non-Farm Fridays
- No early exits, either hit SL or target
- Use SL scaling in case the profit target for the setup doesn’t provide 2R for example for FA or VAA setups
- Risk Management
- 2 consecutive days of lack of sleep = NO TRADING