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TJR Strategy —
Trading Strategy & Market Structure

The TJR Trading Strategy is built upon institutional market structure, liquidity sweeps, and high-probability Fair Value Gap (FVG) retests. Our strategy focuses on mechanical, repeatable executions during high-volume session windows.

01 / Imbalance

15-Minute Fair Value Gaps (FVG)

We isolate imbalance zones created by institutional buying or selling pressure. When price leaves an inefficiency gap on the 15-minute timeframe, we wait for a controlled retracement back into the FVG before triggering trades.

02 / Structure

Market Structure Shifts (MSS)

A trade setup is only valid after a clear Market Structure Shift occurs on lower timeframes following a liquidity sweep of Asia, London, or Previous Day High/Low boundaries.

03 / Timing

Session Timing & Killzones

Execution windows are restricted to high-liquidity session opens: London Killzone (02:00–05:00 EST) and New York Killzone (07:00–11:00 EST). Off-session trades are filtered out.

04 / Risk Engine

Fixed Mechanical Risk Model

Every signal includes explicit Stop Loss and Take Profit levels designed for a minimum 1:2 Risk-to-Reward ratio, protecting capital with a strict 15.0% account risk ceiling.

View Verified Trade History →Get TJR Signals Access
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EDUCATIONAL RESEARCH & SOFTWARE DISCLAIMER: TJR Signals (tjrsignals.com) provides educational technical analysis tools, algorithmic chart indicators, economic calendar data, and market research commentary for self-directed traders. TJR Signals is a digital software and educational platform — NOT a registered investment advisor, broker-dealer, or fund manager. We do not manage customer funds, execute trades on behalf of users, or provide personalized financial advice.

CFTC RULE 4.41 RISK DISCLOSURE: HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFITS OR LOSSES SIMILAR TO THOSE SHOWN.

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