$ES | +3.1R ✅ | 14/02/2026
🔹Bearish Bias
🔹SMT with $NQ at the highs
🔹Draw - LRLR, 15m lows in the discount zone from NYAM range
🔹NYPM (Time) / Entry after smt at the top, failure swing and BoS.
@the5erstrading could’ve been a solid futures choice..but 30% consistency? 🤨
At least 40% would’ve been a fair starting line 🤷♂️
And don’t even get me started on that ridiculous pricing 💸
I actually like their CFD side 👍
But on futures… they really disappointed 🚫📉😐
@payeltrades For me its fixed RR. (2.5R+ only, ideally 3R)
Either SL or TP.
- It harder to scale in and out psychologically.
- Fixed RR means easier calculations and easier trade management.
- I do trail stop tho based on market structure.
@payeltrades As far as I know, Max DD is 2000$, and you'd risk 400-500$/ trade.. So 4-5 losers back to back before you blow it???
Is it sustainable.
I too recently turned profitable. I risk 200$/trade on 50k account Lucid Flex Account. Isn't 400-500$/trade risk too high?
Don't judge me on -500$ (-1%) day please... 🫠🫠. Tried to pass it in one day.
Not anymore, will be working with 200$ (0.4%) risk per trade no matter what.
+5R ✅ week.. 👏 Let's go.