US30 - Updated Trader Edge

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🎯 KEY PIVOT ZONE
BREAKOUT LEVEL: 46,440.0-46,520.0

✅Dense HVN cluster (7+ stacked bars) with 3 POC alignment at right edge of VRVP
✅Untested high-volume area near all-time high with no significant rejection history above
✅51.7 points above current price - price consolidating before potential breakout

📊 PRICE TARGETS

UPSIDE TARGETS ⬆️
🎯T1: 46,440.0-46,520.0 (Breakout through primary HVN cluster)
🎯T2: 46,640.0-46,720.0 (Secondary breakout continuation)

DOWNSIDE TARGETS ⬇️
🎯T1: 46,140.0-46,220.0 (Primary Demand)
🎯T2: 45,900.0-45,980.0 (Secondary Demand)

⚡💎⚡ EDGE - HIGHEST PROBABILITY PLAY
Long from 46,280.0-46,340.0 pullback zone targeting breakout through 46,440.0-46,520.0
then continuation to 46,640.0-46,720.0

🔍 PRE-ENTRY CONFIRMATION SIGNALS
✅ Volume expansion on move toward 46,440.0 with bullish candle structure
✅ Break and hold above 46,460.0 with momentum or successful retest of 46,380.0
✅ Continuation pattern above 46,520.0 confirming breakout into new territory

📈 TRADE SETUP
🟢PRIMARY BIAS: BULLISH-BREAKOUT

Long Setup:
Entry: 46,280.0-46,340.0 on pullback
OR
Entry: 46,460.0+ on breakout confirmation
Stop Loss: 46,240.0
🎯Target 1: 46,520.0-46,580.0
🎯Target 2: 46,640.0-46,720.0
Risk/Reward: 1:2.4 / 1:4.0

🔄 BIAS FLIP CONDITIONS
🔴TURNS BEARISH IF:

✅Hard rejection at 46,440.0-46,520.0 with close back below 46,360.0 and volume
✅Break and sustained move below 46,240.0 with bearish momentum shift
✅Failed breakout creating distribution pattern below 46,420.0

⚡Then Target:
🎯46,140.0-46,220.0
🎯45,900.0-45,980.0

⚠️ RISK MANAGEMENT
Max Risk: 100-120 points from entry to stop
Position Size: Risk 1-1.5% of capital maximum
Time Stop: Exit by end of session if consolidation extends without breakout

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