When there is triple TF confirmation, even M1 looks less scary to trade.
A Note on Risk Management
Not all signals carry the same risk/reward profile, so I adjust my position sizing accordingly:
- 0.3% on Early ABC signals
- 0.5% on Main ABC signals
- 0.2% on Late ABC signals
Early signals offer the best R/R ratio, but they expose us to potential pullbacks and drawdown before the move fully develops. We balance this with smaller position sizing.
Main signals are the sweet spot — confirmed momentum with solid R/R — so they deserve our highest risk allocation.
Late signals may catch the tail end of a move, where trend exhaustion or reversal becomes more likely. Playing it safe here protects our gains.
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