This strategy is a rule-based breakout system built around Camarilla levels combined with market structure confirmation. Trades are taken only when all predefined conditions align — no impulsive entries.
Risk management is the core foundation of this system.
• Fixed 2% risk per trade • Consistent 1:3 Risk–Reward ratio • No martingale • No grid trading • No averaging down
The focus is steady capital growth through disciplined execution and controlled compounding.