What strategy do you use when targeting Buy Side and Sell Side Liquidity pools?
Do you prioritize targeting Previous Day High/Low, relative equal highs/lows, or unmitigated higher-timeframe Order Blocks for your final Take Profit levels?
Do you prioritize targeting Previous Day High/Low, relative equal highs/lows, or unmitigated higher-timeframe Order Blocks for your final Take Profit levels?
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