The mental energy cost of manual analysis nobody talks about
Every time I open a new position I spend 15+ minutes scanning tickers, checking IV rank, calculating optimal strikes, verifying no earnings conflicts. That cognitive load leads to worse decisions over time. How do you guys manage this?
Posted by Sebastian_28saas
2 Comments
I made a volatility dashboard that has a GARCH model for forecasting vol given a forward looking window
Simplify your setup. Vol, stoch osc, SR channels, 8-200ema with crosses. Thats all. Takes me a minute to identify the setups, and if there isnt one, I look elsewhere.I watch volume actively through 15min candles, I like a large variation because volatility makes me money with my strategy.