$NQ Long September 2, 2025
Draw: Relatively equal highs
Time: 9:30 AM manipulation in opposite direction
Entry: Breaker + FVG
Risk: 2R
*There's something familiar about this pattern...
$CL Short
Time - 9:00am commodities open
Price - NY reversal profile/ daily bearish fvg
Entry - 5min breaker
Draw - Asia London relative equal lows
Risk - (+2R)
*Note - God will provide
$CL Short
Time - 10:30am Natural Gas Storage.
Price - Consolidation profile/ 1HR Swing High outside the range
Entry - 5min breaker.
Draw - Low resistance liquidity.
Risk - (+2R)
$CL Short (LIVE Execution)
Time - 9:00am Commodities open.
Price - Bearish Daily Internal POI / 1hr External POI
Entry - 5min breaker.
Draw - Pre market open low.
Risk - (-1R)
I can live with this loss. Followed my rules. +2R on the month.
@luke_trades1 I just enter once the breaker is confirmed instead of waiting for the unicorn. If your risk management is consistent, it all works out in the end.
$CL Short (LIVE Execution)
Time - 9:00am No News
Price - Bearish Daily Internal / 1hr Internal engaged
Entry - 5min breaker.
Draw - Pre market lows.
Risk - (-1R)
Note - This is the first time I had zero emotions after a loss. Process over profits.
$CL Short (LIVE Execution)
Time - 9:00am No News
Price - Bearish Daily Internal and External Engaged
Draw - Pre market and London lows / Low resistance liquidity run.
Entry - 5min breaker.
Risk - (+2R)
Note - Falling in love with the process all month.
$CL Long (LIVE Execution)
Time - 9:00am No News
Price - 1hr HTF POI and Print Level Probability +M engaged.
Draw - Pre market and London Highs / Low resistance liquidity run.
Entry - 1min close below 5min breaker.
Risk - (+2R)
Note - Late in the session so I was cautious with my risk.
$CL Short (Lucky LIVE Execution)
Time - I thought there was 10:30am news so I wasn't stopped on the position I would have been in at 9:50am.
Price - Daily, 1hr HTF POI and Print Level Probability -M engaged.
Draw - Pre market relative equal lows and London Lows.
Entry - 1min close below 5min breaker.
Risk - (2R)
Note - The initial high wasn't taken so I still considered the breaker valid. Sometimes you get lucky. I'll take it.
$CL SHORT (TPDER MODEL)
Time - 9:00am No news.
Price - Swept 1hr swing high
Draw - London lows.
Entry - Alternative entry. 1min close below 1min swing.
Risk - (2R)
Note - All the rules were followed.
@Am_bored_Asta The highest gold trading volume typically occurs during the New York trading session, roughly between 8:00 AM and 12:00 PM Eastern Time (ET).
$CL Short (Missed Opportunity��)
Time - 9:00AM Commodities Open
Price - 1HR HTF POI
Draw - Pre Market Lows
Entry - 5MIN Breaker
Risk - 2R
*This was the only trade my model offered all week... and I missed it because I stepped away to help my wife. SMH!