Fewer indicators, more context
A cluttered chart is a beginner's chart. In the TETC setup I use 5 things: two EMAs (21 and 50), RSI 14, daily VWAP, volume, Fibonacci on the last swing. Every indicator has a defined role.
How they combine into an entry
Ideal long: price above H1 50 EMA, RSI pullback 40-50 on M15, VWAP touch with rising volume, confluence with 61.8% Fib. Four out of five aligned = entry. Five out of five = increased size.
Why I don't use MACD, Ichimoku or Bollinger
Not because they're wrong: overlapping signals create paralysis. Better 5 indicators mastered 100% than 15 read halfway. Trading is discipline, not indicator collecting.


