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Hey guys, I need some advice from experienced swing traders.
My strategy is based on 4H supply/demand for bias. I wait for a liquidity sweep, then a 15M MSS, and finally enter from a 5M FVG with confirmation. I only take A and A+ setups with a minimum 3R target.
Current watchlist:
\- EURUSD
\- GBPUSD
\- NAS100
\- US30
\- SP500
\- USDJPY
The problem is I'm only getting around 3–4 A/A+ setups per month across all these markets. That feels way too low for passing a two-phase funded challenge in a reasonable amount of time.
So my questions are:
\- Is there something I should change in my approach to increase setup frequency without hurting my edge?
\- Or should I simply add more markets?
\- If adding markets is the better option, which pairs or indices would you recommend for this kind of HTF supply/demand + LTF confirmation model?
I'd really appreciate advice from anyone trading a similar style. Thanks!