I’m still bullish for GC. So far plan is being executed but I be hoping for more true breakout by now.
My options are
= end trade
And no loss, but no potential profit
=Stay in trade
Risk bigger loss
Potential gain
Exit and re enter on test of wedge
Better RR ratio
Risk no entry
At this time I stay in trade and watch. Why? So far acting the way I predict. When no longer following plan then I exit and try for re entry if still valid trade setup.
Reversal trades have lower success rates but higher profits.
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