Strategy #283
Footprint Chart Scalp
Entry Logic
- Exact entry trigger: A large volume imbalance at a specific price level on the footprint chart.
- Confirmation requirements: The price starts to move away from the imbalanced level.
- Timeframe required: Footprint chart (e.g., 5-minute, 15-minute).
- Location context: N/A.
- Market condition requirement: Any market condition.
Exit Logic
- Profit target(s): 15-20 cents in the direction of the imbalance.
- Scaling out rules: No scaling out.
- Trailing stop rules: No trailing stop.
- Exit on signal failure: If the price does not move away from the imbalanced level, exit the trade.
- Exit on opposite signal: If a larger imbalance appears on the other side, exit the trade.
- Exit on time expiration: Exit the trade after 15 minutes, regardless of the outcome.
- Exit on momentum loss: If the volume dries up, exit the trade.
Stop Loss Structure
- Hard stop location: 5 cents on the other side of the imbalanced level.
- Soft stop rules: None.
- Maximum dollar loss per trade: $50.
- Maximum percent loss per trade: 0.5% of the account.
- Structural stop placement: N/A.
Risk Management Framework
- Risk per trade: 0.25% of the account.
- Maximum daily loss limit: 3 consecutive losing trades.
- Maximum weekly loss limit: 5% of the account.
- Maximum drawdown allowed: 10% of the account.
- Risk-reward ratio requirement: 3:1.
Position Sizing Model
- Recommended sizing approach: Fixed share size.
- Volatility-based adjustment: N/A.
- Conviction-based sizing (A+/A/B setup): N/A.
- Scaling in rules: No scaling in.
- Scaling out rules: No scaling out.
Trade Filtering
- Market conditions to avoid: N/A.
- Specific setups required: A clear volume imbalance on the footprint chart.
- Stock/instrument requirements: Any stock.
- Time of day restrictions: N/A.
- Chop/news avoidance rules: Avoid trading around major news events.
Context Framework
- Trend direction assessment: N/A.
- VWAP relationship: N/A.
- Moving average relationship: N/A.
- Range location: N/A.
- Higher timeframe alignment: N/A.
Trade Management Rules
- When to move stop to breakeven: After the price has moved 10 cents in your favor.
- When to scale out: No scaling out.
- When to add size: No adding size.
- How to handle fast moves vs slow moves: In fast moves, take profits quickly. In slow moves, be patient and let the trade work.
Time Rules
- Optimal trading window: N/A.
- Times to avoid: N/A.
- Session-specific notes: This strategy can be used at any time of the day.
Setup Classification
- A+ setup criteria: All entry criteria are met.
- A setup criteria: N/A.
- B setup criteria: N/A.
- C setup criteria: The volume imbalance is not significant.
Market Selection Criteria
- Instrument requirements: Any stock.
- Volume/liquidity requirements: The stock must have sufficient liquidity to enter and exit the trade easily.
- Volatility requirements: N/A.
Statistical Edge Metrics
- Expected win rate: 65%.
- Average win size: $0.20.
- Average loss size: $0.05.
- Profit factor: 2.6.
- Expectancy per trade: $0.10.
Failure Conditions
- Market conditions where strategy fails: N/A.
- Specific scenarios to avoid: Trading against a strong trend.
Psychological Rules
- Key mental discipline requirements: The ability to read and interpret order flow from a footprint chart.
Advanced Components
- Market regime detection: N/A.
- Volatility/liquidity filters: N/A.
- Correlation filters: N/A.
- Multi-timeframe alignment: N/A.
Location
- Where this setup is strongest: At key support and resistance levels.
- Where this setup is weakest: In the middle of a range.
- Location changes outcome: N/A.