GBPUSD BUY TRADE PLANBritish Pound vs US DollarICMARKETS:GBPUSDjibkhan111PAIR & DATE: GBPUSD — 13 Nov 2025 PLAN ID: GU-131125-A1 Analysis Timestamp (UTC): 17:58 • Chart Age ≤ 30m Status: ✅ VALID Category: Swing-Intra-Day Direction: BUY Confidence: 78% Min R:R: ≥1:3 to TP2 ⸻ 📌 MACRO ALIGNMENT NOTE •Trend: WITH (D1/H4 have turned bullish after BOS + higher low at 1.3050) •Macro Bias: WITH (USD softness + GBP stabilisation + DXY pullback from supply) •Implication: Favour buy-the-dip setups; avoid countertrend sells unless structural break. ⸻ ⚡ LEVELS CARD (QUICK ACTION) — LOCKED ✅ PRIMARY SETUP — BUY (Higher Probability) Entry Zone 01 (LOCKED): 1.3140 – 1.3160 • H4 demand + bullish OB • Untapped liquidity sweep pocket • Premium→Discount rotation confirmation Entry Zone 02 (Deeper Zone, LOCKED): 1.3090 – 1.3105 • D1 demand • Last unmitigated inefficiency zone • Matches H4 bullish BOS origin Stop Loss (FINAL): 1.3050 (below structural swing + OB invalidation) Take Profits (LOCKED): •TP1: 1.3240 •TP2: 1.3305 •TP3: 1.3370 Order Type: Pending – Pre-validated ✅ Session: London / NY ⸻ ✅ EXECUTION CHECKLIST 1.News Blackout Gate: No trades 15m pre / 60m post USD or GBP red news 2.Tap into Entry 01 during London or NY 3.Confirmation: H1/H4 bullish engulf / BOS / pin 4.Set pending order as defined 5.TP1 → Partial → SL BE → continue 6.Invalidation = break & close below SL 7.No trigger = stand aside 8.Flat EMA stack at zone = skip ⸻ 📰 FUNDAMENTALS & NEWS •BOE Bias: Neutral-hawkish tilt (supports GBP dips) •Fed Bias: Dovish-leaning; USD softens •Key 7-Day Data: • UK CPI • US Core PPI / CPI • Retail sales •Cross-Asset: • DXY pulling back • US 10Y yields soft • Equities risk-on •Macro Lean: USD softening + GBP stabilising = Upside continuation bias. ⸻ 🗺 MARKET MAP •D1: Higher-low formed → bullish structure shift •H4: BOS → retesting demand at 1.3140 •Liquidity: Buyside above 1.3240 / 1.3300 •Zones: Two strong OBs → 1.3140–60 & 1.3090–1.3105 •Play Type: Continuation — Buy the Dip ⸻ 🎯 RISK & MONEY MANAGEMENT •Risk 1–2% per idea •Basket cap = 2% •R:R ≥1:3 to TP2 •Spread/ATR filters satisfied •Trail using H1 structure ⸻ 💬 CONFIDENCE (ONE SENTENCE) 78% — Structure has flipped bullish with macro alignment and two clean unmitigated demand zones below current price. ⸻ 🧭 FINAL EXECUTION STRATEGY •Primary Trigger: Buy at 1.3140–1.3160 only if London/NY wick + H1 bullish engulf → execute pending. •Alternate Trigger: If price drops to 1.3090–1.3105 → stronger zone → execute confidently. •Stay Flat: If close below 1.3050 or no confirmation candle. •Zone Status: Both zones Fresh & Valid. ⸻ 📝 POST-TRADE JOURNAL (Fill After Execution) Outcome + lesson: _________________________