Let specify it...
Steps (End of week)
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1) Weekend we assess the daily charts scanning for subsequent week trades.
2) Weekend, we specify the MM (% of accounts and SL) to exchange for every currency.
3) Weekend, reviewing places that are in exchange.
Steps (Daily)
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1) Check every 4 hrs for trade entry/exit, then input commerce log.
2) Check every 4hrs to maneuver SL.
3)....
Anyone can bring about better the framework..pls. Thanks. .