Reason for long
a) Consolidation breakout pull back set up
b) Monthly Mr.14 set up
c) long term consolidation breakout
d) QQE breakout
e) Qty and SL needs to be optimized based on 1% portfolio risk
a) Consolidation breakout pull back set up
b) Monthly Mr.14 set up
c) long term consolidation breakout
d) QQE breakout
e) Qty and SL needs to be optimized based on 1% portfolio risk