I know that I could be completly different to what Will said in a live room (because I only view replay

but here is my analysis for the MGC.
There is a long term uptrend.
What I expect ? Price return to 1557.
IF THEN ELSE strategy :
IF price goes to 1491.0 (matched grey VP H1 and M1440) today
THEN Long with a target @ 1538.
Reward : 470 €
Risk : 35 €
Ratio : 13.42 ^^
During my testing phase (and after at the beginning in real), I'll stay with the same number of contrats. My goal is to have the same dollar risk in each instrument (no over or under weight for whatever the instrument).