Today I have multiple post. I will post the screenshot together with the reason of entry and the result TP or SL.
Entry 1 - UCAD
Currently running on profit 40+ pip. Based on REM setup.
RESULT TP/SL
Manual TP 50+ pip
REASON
No reason. haha
Entry 2 - EURJPY
Before
EJ I enter post in H1. Green pip but I did not monitor it so it went down. But no worries it is forming H4 reentry so yeah I will hold. But if M15 does not make CSA then I will exit post.
After
RESULT TP/SL
SL
REASON
SL too tight. 10 pip excess. Kalau nda profit aiyaa.
Entry 3 - AUDUSD
Before
H4 reentry. Langgar SOP entry di M15 hahaha. Looks like M15 nda mau naik buat masa sekarang. Remember, after entry no momentum/extreme can TP because will bounce back. Sekarang hold sbb H4 DAILY masi UT. Unless buat CSA kukuh sell then cut.
After
RESULT TP/SL
SL
REASON
Patut close masa post ni sbb sudah buat extreme. Turned out dia buat reentry di Mid BB. Arah sda btul. So patut kasi besar SL at least 30 pip
Entry 4 - GBPJPY
RESULT TP/SL
SL
REASON
Tidak ikut SOP. CSA buy M15 belum ada. Turned out jadi reentry sell H1
Entry 5 - GBPUSD
RESULT TP/SL
SL
REASON
Same reason with GJ. SOP discipline.