vlad, 16 y/o, documentin my raw journey to a $100k funded prop account right here π
started last sept. keeping it 100% transparent because hidin losses won't make me a better trader. if i blow the challenge, you'll see it first.
focusin on pure price action (eurusd/gbpusd). no signals, no high-ticket courses, just strictly collectin my daily data π§ πΌ
hit follow to watch the process in real-time. let's see how far we can take this π
mar 11th ldn log | eurusd short execution fumbled π
entered m5 short from m5 OB post-BOS inside 1h bearish premium zone. sized full 0.5% risk unit. price aggressively spiked up with a single wick to hit my SL, then immediately melted straight to targets. missed a clean 1:5 RR print.
critical mistake: entered way too early. algorithm fumbled my entry because it needed to mitigate a deeper, refined 1h order block sitting higher up in premium. completely missed the valid 5m re-entry after the wick sweep.
patience was ignored. lesson saved inside notion. capital safe, prepping for the next expansion window.
$eurusd $fx $gbpusd $crypto $btc smc ππ
Pair: EURUSD | Mar 11th π
Time: LDN Session
Result: -1.0 RR (-0.50% loss)
Potential was a clean 1:5 RR melt straight to targets. Fumbled a deeper HTF zone mitigation. Full short analysis dropping very soon. Turn notifications on.
$eurusd $fx $gbpusd $crypto $btc smc
mar 10th ny log | eurusd long fumbled π
executed m5 long from m5 OB post-BOS inside 1h discount pullback. slashed risk to 0.25% due to uncleaned liquidity below. price reversed and hit full SL for -1.0 RR.
critical mistake: targeted heavy 1h liquidity pools that were way too far. picked weekly delivery targets, which is completely wrong for an intraday m5 trader.
task is to move strictly from the nearest local liquidity pool to the next within the current session. algorithm just flushed my OB for lower fuel. capital safe, metrics logged.
$eurusd $fx $gbpusd $crypto $btc smc ππ
Pair: EURUSD | Mar 10th π
Time: NY Session
Result: -1.0 RR (-0.25% loss)
Playbook execution was mechanical but fumbled the HTF targets completely. Full post-trade review dropping very soon. Turn notifications on.
$eurusd $fx $gbpusd $crypto $btc smc
at 16, i donβt care about compounding a small account. i care about compounding the discipline to follow my playbook metrics every single day. size comes later.
$eurusd $fx $gbpusd $crypto $btc smc ππ
mar 10th log | eurusd ldn session long execution fumbled π
htf 1w cleanly swept a major low so i anticipated a premium pullback. 1d was bearish but 1h shifted bullish and retraced below 0.5 premium, aligning the context. flipped to m5 and executed a long from the 5m OB post-BOS confirmation.
because of uncleaned liquidity and deeper discount blocks resting directly below my entry, i aggressively slashed risk to 0.25%. price took my SL with exactly 1 candle and instantly reversed straight to targets for a missed 1:7 RR. no macro news came out either.
if you know why the big algorithm skipped that lower pool, let me know. narrative was spot on. capital safe, metrics logged into notion.
$eurusd $fx $gbpusd $crypto $btc smc ππ
mar 3rd log | eurusd counter-trend long fumbled π
htf 1w swept a major low into a weekly OB. 1d/1h stayed strictly bearish, but with no liquidity left below, i anticipated a short-term premium pullback. price tapped a 1h OB inside the weekly zone, caught a clean 5m BOS, and i executed long on the pullback risking a split 0.25% size.
hit full system SL for a -1.0 RR loss. price engineered liquidity pools directly above my 5m OB but left another pool underneath, which completely invalidated the level. skipping the re-entry since the candle closed below the sweep level. metrics logged.
$eurusd $fx $gbpusd $crypto $btc smc ππ