Most Indian retail accounts die from overtrading, oversized gold, and narrative-free entries during dead Asia. Our method is deliberately boring.
- Weekly narrative from DXY, US100, and the pair's dealing range.
- Mark external liquidity. Do not touch price until it is taken or clearly respected.
- Execute only in defined killzones with a written A+ model.
- Risk 0.5–1% . Daily stop = 2R. Week stop = 4R. Then you are done.
- Journal screenshots the same day. Review Sunday. Repeat.
This is education. Markets change. No model prints money on demand.