Trades on NYSE session. Its open time is 09:30 EST
Monitors the first 25 minutes.
Opens a trade at the first opportunity within the next 120 minutes


The risk management uses a ratio of 1 lot for each $9,000.
The formula for the lot size per trade is: [Your capital] / 9,000


Take Profit = 1.50 × ATR(200, M15)
Stop loss   = This preset uses a grid. Without a fixed stop loss, position management is handled through grid logic, which adjusts the overall take profit as new trades are opened.


Entry method = Supply & Demand — Triggers when the price closes inside an S&D zone after a breakout, entering in the direction of the breakout

Active filters: —


Average trade frequency: 0.27 trades per month

