
And that is precisely the main problem at the moment: we have been stuck in the same range for days, with no real breakout or structural confirmation.
In such conditions, it makes little sense to force trades in the middle of the range, because price action becomes noisy, manipulable and full of fake moves.
For this reason, on higher timeframes I am only considering two key triggers to be valid:
a strong reclaim of upper resistance levels with acceptance and volume
or a sweep/deviation on support levels with an immediate reaction
Everything else in between is, for me, simply noise.
Once the Monday Range closes, I will have much clearer levels and will be able to set more precise plans, with clear invalidations and a significantly better risk/reward ratio..
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周一可能是另一个缓慢的一天,成交量低,实际市场活动很少。
周一可能依然是一个缓慢的交易日,成交量低,市场实际活动有限。
这正是当前的主要问题:我们已经在同一价格区间内停滞多日,没有真正的突破或结构性确认。
在这种情况下,强行在区间中间进行交易意义不大,因为价格走势变得嘈杂、易被操控且充满假动作。
因此,在更高时间框架上,我只认为两个关键触发点是有效的:
强势收复上方阻力位并伴随成交量确认
或在支撑位出现扫盘/偏离后立即反应
介于两者之间的所有情况,对我来说都只是噪音。
一旦周一区间收盘,我将拥有更清晰的关键价位,能够制定更精准的交易计划,设定明确的无效点,并获得显著更优的风险/收益比。