Thanks for sharing lindq, Just to make sure I understand you correctly, your strategy (in simple terms) is: Before the market opens daily: decide if long or short, enter trade, set stop loss, exit trade at end of day. Am I correct for the most part?
Correct. That's what works for me. The decision as to whether to take a position at all, or whether long or short, is not mine to make. It is based on historical probabilities and current levels of volatility.