Do you keep trading during major high-impact news events (FOMC, CPI, NFP)?
Some traders thrive on volatility, while others flat all positions 30 minutes before release to avoid slippage. What is your strict rule protocol on high-impact news days?
Some traders thrive on volatility, while others flat all positions 30 minutes before release to avoid slippage. What is your strict rule protocol on high-impact news days?
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