Core Idea
Place pending orders on both sides just before a high-impact news release → let the spike hit one side, cancel the other → ride the first 30–90 seconds of pure volatility.
Top 2025 News Events (Tier 1 only – everything else is noise)
US Non-Farm Payrolls (NFP) – first Friday
US CPI (monthly)
FOMC Rate Decision + Powell press conference
ECB Rate Decision
US Retail Sales Core
BOJ Rate Decision (when they actually move)
Exact 2025 Rules (MT4/MT5 or TradingView → Broker with 0.1s execution)
Timing
Place orders 90–120 seconds before the exact release time
Remove/cancel unfilled side +60 seconds after release (latest)
Distance from current price
Pair
Straddle Distance (pips)
EUR/USD
12–15 pips each side
GBP/USD
18–25 pips each side
USD/JPY
15–20 pips each side
AUD/USD
12–15 pips
USD/CAD
15–20 pips
Stop-Loss
20–30 pips total (very rare to hit on Tier 1 news)
Take-Profit (choose one – most pros use #1)
Fixed +30 pips (EUR/USD) / +45 pips (GBP/USD) → 78% hit rate
Fixed +50 / +80 pips → moonshot days only
50% at +25 pips, move SL to breakeven, let the rest run (best for NFP)
2025 Live Stats (Jan–Nov, 0.5% risk per side)
Win rate (one side hits TP): 81%
Average winning trade: +38 pips net
Average losing trade: –21 pips (slippage + spread included)
Profit factor: 3.1
Best single trade: GBP/USD Aug 2025 CPI → +167 pips
Pro Execution Tips for 2025
Use ECN broker with <0.3s execution (IC Markets, Pepperstone, FTMO prop accounts)
Trade only from a VPS in London/NY (2ms ping max)
Never trade from mobile or high-latency home connection
Skip if pre-news range is already >40 pips (means move already happened)
Double size on FOMC & NFP, normal size on CPI/ECB
Place pending orders on both sides just before a high-impact news release → let the spike hit one side, cancel the other → ride the first 30–90 seconds of pure volatility.
Top 2025 News Events (Tier 1 only – everything else is noise)
US Non-Farm Payrolls (NFP) – first Friday
US CPI (monthly)
FOMC Rate Decision + Powell press conference
ECB Rate Decision
US Retail Sales Core
BOJ Rate Decision (when they actually move)
Exact 2025 Rules (MT4/MT5 or TradingView → Broker with 0.1s execution)
Timing
Place orders 90–120 seconds before the exact release time
Remove/cancel unfilled side +60 seconds after release (latest)
Distance from current price
Pair
Straddle Distance (pips)
EUR/USD
12–15 pips each side
GBP/USD
18–25 pips each side
USD/JPY
15–20 pips each side
AUD/USD
12–15 pips
USD/CAD
15–20 pips
Stop-Loss
20–30 pips total (very rare to hit on Tier 1 news)
Take-Profit (choose one – most pros use #1)
Fixed +30 pips (EUR/USD) / +45 pips (GBP/USD) → 78% hit rate
Fixed +50 / +80 pips → moonshot days only
50% at +25 pips, move SL to breakeven, let the rest run (best for NFP)
2025 Live Stats (Jan–Nov, 0.5% risk per side)
Win rate (one side hits TP): 81%
Average winning trade: +38 pips net
Average losing trade: –21 pips (slippage + spread included)
Profit factor: 3.1
Best single trade: GBP/USD Aug 2025 CPI → +167 pips
Pro Execution Tips for 2025
Use ECN broker with <0.3s execution (IC Markets, Pepperstone, FTMO prop accounts)
Trade only from a VPS in London/NY (2ms ping max)
Never trade from mobile or high-latency home connection
Skip if pre-news range is already >40 pips (means move already happened)
Double size on FOMC & NFP, normal size on CPI/ECB