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Mengapa saya masih kesulitan mempercayai kerangka waktu yang lebih tinggi?

Started by Kamp jaket, January 01, 2024, 03:44:00 AM

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Kamp jaket

Mengapa saya masih kesulitan mempercayai kerangka waktu yang lebih tinggi?

Sebagai pedagang menengah yang telah melampaui konsep dasar dan sekarang sangat berfokus pada struktur pasar, sapuan likuiditas, pengisian ketidakseimbangan, dan volatilitas berbasis sesi, dapatkah seseorang menjelaskan mengapa saya masih kesulitan mempercayai bias kerangka waktu yang lebih tinggi saya bahkan setelah melakukan analisis multi-kerangka waktu yang terperinci—memetakan zona penawaran dan permintaan mingguan dan harian, mengidentifikasi penembusan struktural yang jelas, dan menelusuri kumpulan likuiditas yang cenderung menjadi target harga—karena setiap kali saya turun ke kerangka waktu yang lebih rendah untuk menyempurnakan entri, saya sering terguncang oleh pullback kecil, konsolidasi mikro, atau penembusan palsu yang sesaat melanggar struktur kerangka waktu yang lebih rendah saya, menyebabkan saya mempertanyakan bias awal saya dan menutup posisi sebelum waktunya atau menghindari perdagangan sepenuhnya, hanya untuk melihat harga kemudian mematuhi narasi kerangka waktu yang lebih tinggi dengan sempurna.

Saya merasa frustrasi karena saya tahu saya seharusnya mengandalkan struktur makro saat menggunakan kerangka waktu yang lebih rendah untuk presisi, tetapi volatilitas waktu nyata di dalam lingkungan intraday masih mengganggu saya, terutama selama pembukaan London dan New York, dan saya ingin memahami bagaimana pedagang yang lebih mahir berhasil mempertahankan keyakinan mereka di tengah kebisingan, membedakan pergeseran struktural yang valid dari perampasan likuiditas yang tidak signifikan, dan mempertahankan kepercayaan pada arah kerangka waktu yang lebih tinggi tanpa membiarkan setiap candle pada grafik satu menit memengaruhi pengambilan keputusan mereka.

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