I have 4 levels on upside to watch as Sell levels ➡️15m level 2684ish (high risk) ➡️H1 level 2690ish (medium risk) ➡️H4 level 2708ish (low risk) ➡️ Day/week level 2733ish (extremely low risk)
I would prefer start taking sell risk form H1 levels with 70 to 100 pips SL, depending on the entry I got.
For buy Risk I have 2 levels marked on charts ➡️H4/Day levels 2633ish for medium to low-risk entry ➡️Weekly level 2612ish for reentry once 2633ish failed.
This is the game plan for now for full NFP day, any change would try to convey on time. Ignore all previous VIP inactive signals if any and follow NFP levels and updates for next move. Today is 1st NFP data of year 2025 that can be seen as wide range move that can make leveraged traders rich in no time if entered in right side of trades with open TP. I personally stick with SL and TP
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