It sounds crazy, but every analysis starts with timeframes.
Senior - main, junior - auxiliary.

The analysis of the river is delicate, the direction depends on what and how? Well, the answer to the question of how - quickly after accumulation or slowly and unhurriedly.

Usually, the movement of each trend goes from external liquidity to internal and vice versa.


Entry in: long - the best from the bottom, in short - from the top.

Sometimes you can use a system of multiple entries in several, for example:
-Instead of placing one order for $10, it's better to place the first one for $1, the second for $3, and the last for $6 (this will help you maximize the shift of your entry point from the initial one)
-each order can be placed either at the highs/lows or between (at the beginning/end) of the imbalance, as prices return to the imbalance areas to correct price inefficiency.

↑you can save it as a cheat sheet and check before each entry whether your actions match the algorithm.

→ what market trend aspects do you track?