{"id":18466,"date":"2026-08-15T19:17:55","date_gmt":"2026-08-15T19:17:55","guid":{"rendered":"https:\/\/financialmarkets.academy\/academy\/?p=18466"},"modified":"2026-08-15T19:51:14","modified_gmt":"2026-08-15T19:51:14","slug":"take-profit-target-selection-how-to-set-realistic-profit-targets-before-you-trade","status":"publish","type":"post","link":"https:\/\/financialmarkets.academy\/academy\/take-profit-target-selection-how-to-set-realistic-profit-targets-before-you-trade\/","title":{"rendered":"Take Profit &amp; Target Selection: How to Set Realistic Profit Targets Before You Trade"},"content":{"rendered":"\t\t<div data-elementor-type=\"wp-post\" data-elementor-id=\"18466\" class=\"elementor elementor-18466\">\n\t\t\t\t<div class=\"elementor-element elementor-element-e957b1f e-flex e-con-boxed e-con e-parent\" data-id=\"e957b1f\" data-element_type=\"container\" data-e-type=\"container\">\n\t\t\t\t\t<div class=\"e-con-inner\">\n\t\t\t\t<div class=\"elementor-element elementor-element-4457e7d elementor-widget elementor-widget-text-editor\" data-id=\"4457e7d\" data-element_type=\"widget\" data-e-type=\"widget\" data-widget_type=\"text-editor.default\">\n\t\t\t\t<div class=\"elementor-widget-container\">\n\t\t\t\t\t\t\t\t\t<div style=\"max-width:1100px;margin:0 auto;padding:10px 16px 60px;font-family:Inter,Arial,sans-serif;color:#172033;line-height:1.75;font-size:17px;\">\n\n  <!-- HERO -->\n  <div style=\"background:linear-gradient(135deg,#071625 0%,#0b2238 58%,#102c46 100%);border-radius:22px;padding:48px 42px;margin:0 0 38px;box-shadow:0 18px 55px rgba(5,20,35,.18);\">\n\n    <div style=\"display:inline-block;background:rgba(214,167,72,.12);border:1px solid rgba(214,167,72,.55);color:#e6ba61;font-size:13px;font-weight:800;letter-spacing:1.6px;text-transform:uppercase;padding:8px 14px;border-radius:50px;margin-bottom:20px;\">\n      Module 4 \u00b7 Entries, Stop Losses &amp; Trade Management \u00b7 Lesson 3\n    <\/div>\n\n    <h1 style=\"margin:0 0 18px;color:#ffffff;font-size:46px;line-height:1.1;font-weight:850;letter-spacing:-1.6px;\">\n      Take Profit &amp; Target Selection: How to Set Realistic Profit Targets Before You Trade\n    <\/h1>\n\n    <p style=\"margin:0;max-width:900px;color:#c9d5e0;font-size:20px;line-height:1.6;\">\n      Learn how to choose take-profit levels using market structure, support and resistance, opposing liquidity, R-multiples and realistic price objectives instead of arbitrary profit goals.\n    <\/p>\n\n    <div style=\"margin-top:26px;display:flex;flex-wrap:wrap;gap:10px;\">\n      <span style=\"background:rgba(255,255,255,.08);color:#e8eef4;padding:8px 13px;border-radius:8px;font-size:14px;\">Take Profit<\/span>\n      <span style=\"background:rgba(255,255,255,.08);color:#e8eef4;padding:8px 13px;border-radius:8px;font-size:14px;\">Target Selection<\/span>\n      <span style=\"background:rgba(255,255,255,.08);color:#e8eef4;padding:8px 13px;border-radius:8px;font-size:14px;\">Risk-to-Reward<\/span>\n      <span style=\"background:rgba(255,255,255,.08);color:#e8eef4;padding:8px 13px;border-radius:8px;font-size:14px;\">Liquidity Targets<\/span>\n    <\/div>\n\n  <\/div>\n\n  <!-- INTRO -->\n  <div style=\"font-size:19px;color:#29364a;margin-bottom:36px;\">\n\n    <p style=\"margin:0 0 20px;\">\n      Knowing where to enter is important.\n    <\/p>\n\n    <p style=\"margin:0 0 20px;\">\n      Knowing where the trade is wrong is essential.\n    <\/p>\n\n    <p style=\"margin:0 0 20px;\">\n      But you also need to know where the trade should realistically pay you.\n    <\/p>\n\n    <p style=\"margin:0 0 20px;\">\n      Many traders spend enormous amounts of time perfecting entries while giving almost no thought to exits.\n    <\/p>\n\n    <div style=\"background:#f6f8fa;border-left:5px solid #d5a84d;border-radius:10px;padding:24px 26px;margin:28px 0;font-size:22px;font-weight:800;color:#0c2237;\">\n      A profit target should answer one question: where does the market have a logical reason to react before my expected move becomes less attractive?\n    <\/div>\n\n    <p style=\"margin:0;\">\n      A realistic target helps you measure whether the trade is worth taking before you ever click buy or sell.\n    <\/p>\n\n  <\/div>\n\n  <!-- OBJECTIVES -->\n  <div style=\"background:#f8fafc;border:1px solid #e4e9ee;border-radius:18px;padding:30px;margin:0 0 42px;\">\n\n    <div style=\"font-size:13px;font-weight:800;color:#b8862c;text-transform:uppercase;letter-spacing:1.5px;margin-bottom:8px;\">\n      Lesson Objectives\n    <\/div>\n\n    <h2 style=\"margin:0 0 18px;font-size:30px;color:#0a2239;\">\n      What You\u2019ll Learn\n    <\/h2>\n\n    <div style=\"display:grid;grid-template-columns:repeat(auto-fit,minmax(260px,1fr));gap:12px;\">\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 What a take-profit order does<\/div>\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 How structure creates targets<\/div>\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 How liquidity can become an objective<\/div>\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 How R-multiple targets work<\/div>\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 Fixed vs structural targets<\/div>\n      <div style=\"background:white;border-radius:10px;padding:15px 17px;border:1px solid #e7ebef;\">\u2713 How to avoid unrealistic profit targets<\/div>\n    <\/div>\n\n  <\/div>\n\n  <!-- WHAT IS TP -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:48px 0 18px;font-weight:850;\">\n    What Is a Take-Profit Order?\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    A take-profit order is an instruction to close some or all of an open position when price reaches a predetermined favorable level.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    It allows you to decide where profits should be realized before emotion becomes involved.\n  <\/p>\n\n  <div style=\"background:#fffaf0;border:1px solid #ecd49c;border-radius:16px;padding:25px;margin:30px 0;\">\n    <div style=\"font-size:13px;font-weight:850;color:#a67319;text-transform:uppercase;letter-spacing:1.4px;margin-bottom:8px;\">\n      Core Principle\n    <\/div>\n\n    <div style=\"font-size:21px;font-weight:800;color:#172033;\">\n      Your target should come from the market structure first \u2014 not from the amount of money you hope to make.\n    <\/div>\n  <\/div>\n\n  <!-- WRONG TARGETS -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    The Wrong Way to Choose a Target\n  <\/h2>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">\u2715 \u201cI want to make $500 today.\u201d<\/div>\n    <div style=\"margin-bottom:10px;\">\u2715 \u201cI always target 100 pips.\u201d<\/div>\n    <div style=\"margin-bottom:10px;\">\u2715 \u201cI need this trade to recover yesterday&#8217;s loss.\u201d<\/div>\n    <div style=\"margin-bottom:10px;\">\u2715 \u201cPrice has to reach my 1:5 target because that is my strategy.\u201d<\/div>\n    <div>\u2715 \u201cI\u2019ll just keep holding until it looks like the move is over.\u201d<\/div>\n  <\/div>\n\n  <div style=\"background:#f6f8fa;border-left:5px solid #d5a84d;border-radius:10px;padding:22px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#0a2239;\">\n      The market does not know your daily profit goal, your account balance or the amount you lost yesterday.\n    <\/strong>\n  <\/div>\n\n  <!-- STRUCTURAL TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Structural Profit Targets\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Market structure provides some of the most logical places to look for potential targets.\n  <\/p>\n\n  <div style=\"display:grid;grid-template-columns:repeat(auto-fit,minmax(260px,1fr));gap:16px;margin:28px 0;\">\n\n    <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:15px;padding:24px;\">\n      <strong style=\"color:#31785d;\">Previous Swing High<\/strong><br>\n      A natural bullish objective.\n    <\/div>\n\n    <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:15px;padding:24px;\">\n      <strong style=\"color:#9f473b;\">Previous Swing Low<\/strong><br>\n      A natural bearish objective.\n    <\/div>\n\n    <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:15px;padding:24px;\">\n      <strong style=\"color:#0a2239;\">Major Resistance<\/strong><br>\n      Potential obstacle for long trades.\n    <\/div>\n\n    <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:15px;padding:24px;\">\n      <strong style=\"color:#0a2239;\">Major Support<\/strong><br>\n      Potential obstacle for short trades.\n    <\/div>\n\n  <\/div>\n\n  <!-- BUY EXAMPLE -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Bullish Structural Target Example\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Imagine price is in a bullish trend and pulls back into support.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Entry:<\/strong> 1.1000<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Stop:<\/strong> 1.0975<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Previous Swing High:<\/strong> 1.1055<\/div>\n    <div><strong style=\"color:#e5b75d;\">Possible Target:<\/strong> Near the previous swing high.<\/div>\n  <\/div>\n\n  <p style=\"margin:0;\">\n    The previous high matters because price has already reacted there and orders may again be concentrated around that area.\n  <\/p>\n\n  <!-- SELL EXAMPLE -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Bearish Structural Target Example\n  <\/h2>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Entry:<\/strong> 1.2100<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Stop:<\/strong> 1.2130<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Previous Swing Low:<\/strong> 1.2035<\/div>\n    <div><strong style=\"color:#e5b75d;\">Possible Target:<\/strong> Near the previous structural low.<\/div>\n  <\/div>\n\n  <!-- LIQUIDITY TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Liquidity as a Profit Target\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    You learned earlier that obvious highs and lows can contain clusters of orders.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    Those areas can also become logical objectives.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#e5b75d;font-weight:850;text-transform:uppercase;letter-spacing:1.3px;margin-bottom:14px;\">\n      Common Liquidity Targets\n    <\/div>\n\n    <div style=\"margin-bottom:11px;\">\u2713 Previous day high<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Previous day low<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Equal highs<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Equal lows<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Range highs and lows<\/div>\n    <div>\u2713 Major swing points<\/div>\n  <\/div>\n\n  <!-- OPPOSING LIQUIDITY -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Targeting Opposing Liquidity\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    A common price-action framework is to use liquidity on one side of the market as part of the setup and liquidity on the opposite side as a potential objective.\n  <\/p>\n\n  <div style=\"background:linear-gradient(135deg,#071625,#0d304d);border-radius:18px;padding:31px;color:white;margin:28px 0;text-align:center;\">\n    <div style=\"font-size:13px;color:#e5b75d;font-weight:850;text-transform:uppercase;letter-spacing:1.3px;margin-bottom:10px;\">\n      Bullish Example\n    <\/div>\n\n    <div style=\"font-size:25px;font-weight:850;\">\n      Sell-Side Liquidity Sweep \u2192 Bullish Confirmation \u2192 Buy \u2192 Target Buy-Side Liquidity\n    <\/div>\n  <\/div>\n\n  <div style=\"background:linear-gradient(135deg,#071625,#0d304d);border-radius:18px;padding:31px;color:white;margin:28px 0;text-align:center;\">\n    <div style=\"font-size:13px;color:#e5b75d;font-weight:850;text-transform:uppercase;letter-spacing:1.3px;margin-bottom:10px;\">\n      Bearish Example\n    <\/div>\n\n    <div style=\"font-size:25px;font-weight:850;\">\n      Buy-Side Liquidity Sweep \u2192 Bearish Confirmation \u2192 Sell \u2192 Target Sell-Side Liquidity\n    <\/div>\n  <\/div>\n\n  <!-- R MULTIPLES -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    What Is an R-Multiple?\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    An R-multiple expresses the result of a trade relative to the amount initially risked.\n  <\/p>\n\n  <p style=\"margin:0 0 22px;\">\n    If your stop distance represents 1R:\n  <\/p>\n\n  <div style=\"display:grid;grid-template-columns:repeat(auto-fit,minmax(190px,1fr));gap:14px;margin:28px 0;\">\n    <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:14px;padding:22px;text-align:center;\">\n      <div style=\"font-size:30px;font-weight:850;color:#0a2239;\">1R<\/div>\n      <div>Reward equals risk<\/div>\n    <\/div>\n\n    <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:14px;padding:22px;text-align:center;\">\n      <div style=\"font-size:30px;font-weight:850;color:#31785d;\">2R<\/div>\n      <div>Reward = 2\u00d7 risk<\/div>\n    <\/div>\n\n    <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:14px;padding:22px;text-align:center;\">\n      <div style=\"font-size:30px;font-weight:850;color:#31785d;\">3R<\/div>\n      <div>Reward = 3\u00d7 risk<\/div>\n    <\/div>\n\n    <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:14px;padding:22px;text-align:center;\">\n      <div style=\"font-size:30px;font-weight:850;color:#31785d;\">4R<\/div>\n      <div>Reward = 4\u00d7 risk<\/div>\n    <\/div>\n  <\/div>\n\n  <!-- R EXAMPLE -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    R-Multiple Example\n  <\/h2>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Entry:<\/strong> 1.1000<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Stop:<\/strong> 1.0975<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Risk:<\/strong> 25 pips = 1R<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">1R Target:<\/strong> 1.1025<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">2R Target:<\/strong> 1.1050<\/div>\n    <div><strong style=\"color:#e5b75d;\">3R Target:<\/strong> 1.1075<\/div>\n  <\/div>\n\n  <!-- STRUCTURE BEFORE RR -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Do Not Force an R-Multiple Into the Chart\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Suppose your strategy prefers a 1:3 risk-to-reward.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    But major resistance is sitting at 1.7R.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    You cannot make that resistance disappear just because your spreadsheet wants 3R.\n  <\/p>\n\n  <div style=\"background:#fff5f1;border-left:5px solid #c65c48;border-radius:10px;padding:23px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#7f382c;\">\n      If the market does not offer enough room for your required reward, the trade may simply not qualify.\n    <\/strong>\n  <\/div>\n\n  <!-- TARGET BEFORE ENTRY -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Find the Target Before You Enter\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    One of the worst times to decide where to take profit is after the trade is already moving.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    Profit creates emotion just like loss does.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;text-align:center;\">\n    <div style=\"font-size:26px;font-weight:850;line-height:1.7;\">\n      Entry<br>\n      \u2193<br>\n      Stop \/ Invalidation<br>\n      \u2193<br>\n      Realistic Target<br>\n      \u2193<br>\n      Risk-to-Reward<br>\n      \u2193<br>\n      Position Size<br>\n      \u2193<br>\n      Execute\n    <\/div>\n  <\/div>\n\n  <!-- OBSTACLES -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    What Is Between Your Entry and Target?\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    A target can look attractive mathematically while ignoring obvious market obstacles.\n  <\/p>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin:28px 0;\">\n    <h3 style=\"font-size:23px;color:#0a2239;margin:0 0 15px;\">\n      Check for:\n    <\/h3>\n\n    <div style=\"display:grid;grid-template-columns:repeat(auto-fit,minmax(230px,1fr));gap:11px;\">\n      <div>\u2713 Major support<\/div>\n      <div>\u2713 Major resistance<\/div>\n      <div>\u2713 Previous swing points<\/div>\n      <div>\u2713 Range boundaries<\/div>\n      <div>\u2713 Opposing liquidity<\/div>\n      <div>\u2713 Higher-timeframe levels<\/div>\n    <\/div>\n  <\/div>\n\n  <div style=\"background:#fffaf0;border-left:5px solid #d5a84d;border-radius:10px;padding:22px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#0a2239;\">\n      The target is not evaluated in isolation. The path between entry and target matters too.\n    <\/strong>\n  <\/div>\n\n  <!-- TARGET BEFORE LEVEL -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Should Your Take Profit Sit Exactly on the Level?\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Some traders place the take-profit order slightly before a major structural objective rather than directly on it.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    The reasoning is simple: price may approach the level, react just before it and reverse without filling an order placed at the exact extreme.\n  <\/p>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">Previous high: <strong>1.1100<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Possible target: <strong>1.1090<\/strong><\/div>\n    <div style=\"font-size:21px;font-weight:850;color:#172033;\">\n      Target is positioned before the obvious structural level.\n    <\/div>\n  <\/div>\n\n  <p style=\"margin:0;\">\n    Whether your strategy uses exact levels or small offsets should be defined consistently.\n  <\/p>\n\n  <!-- FIXED TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Fixed R-Multiple Targets\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Some trading systems use a consistent reward multiple, such as 2R.\n  <\/p>\n\n  <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#31785d;font-weight:850;text-transform:uppercase;margin-bottom:8px;\">\n      Advantage\n    <\/div>\n\n    <div style=\"font-size:21px;font-weight:850;color:#172033;\">\n      Objective, easy to test and removes discretionary exit decisions.\n    <\/div>\n  <\/div>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#a34d3d;font-weight:850;text-transform:uppercase;margin-bottom:8px;\">\n      Tradeoff\n    <\/div>\n\n    <div style=\"font-size:21px;font-weight:850;color:#172033;\">\n      A fixed target can ignore important market structure if applied blindly.\n    <\/div>\n  <\/div>\n\n  <!-- STRUCTURAL TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Structure-Based Targets\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Structure-based exits adapt the target to the chart.\n  <\/p>\n\n  <div style=\"background:#eef8f4;border:1px solid #cce4d8;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#31785d;font-weight:850;text-transform:uppercase;margin-bottom:8px;\">\n      Advantage\n    <\/div>\n\n    <div style=\"font-size:21px;font-weight:850;color:#172033;\">\n      Target reflects the actual market environment.\n    <\/div>\n  <\/div>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#a34d3d;font-weight:850;text-transform:uppercase;margin-bottom:8px;\">\n      Tradeoff\n    <\/div>\n\n    <div style=\"font-size:21px;font-weight:850;color:#172033;\">\n      Requires more discretion and must still be applied consistently.\n    <\/div>\n  <\/div>\n\n  <!-- FIXED VS STRUCTURAL -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Fixed Target vs. Structural Target\n  <\/h2>\n\n  <div style=\"overflow-x:auto;margin:25px 0 34px;\">\n    <table style=\"width:100%;border-collapse:collapse;min-width:760px;border:1px solid #e1e7ec;\">\n      <thead>\n        <tr style=\"background:#071b2d;color:white;\">\n          <th style=\"padding:16px;text-align:left;\">Method<\/th>\n          <th style=\"padding:16px;text-align:left;\">Target Based On<\/th>\n          <th style=\"padding:16px;text-align:left;\">Advantage<\/th>\n          <th style=\"padding:16px;text-align:left;\">Tradeoff<\/th>\n        <\/tr>\n      <\/thead>\n\n      <tbody>\n        <tr>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\"><strong>Fixed R<\/strong><\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">Risk multiple<\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">Objective<\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">May ignore structure<\/td>\n        <\/tr>\n\n        <tr style=\"background:#f8fafc;\">\n          <td style=\"padding:16px;\"><strong>Structural<\/strong><\/td>\n          <td style=\"padding:16px;\">Market level \/ liquidity<\/td>\n          <td style=\"padding:16px;\">Adapts to market<\/td>\n          <td style=\"padding:16px;\">More discretionary<\/td>\n        <\/tr>\n      <\/tbody>\n    <\/table>\n  <\/div>\n\n  <!-- HYBRID -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Combining Structure With Minimum Risk-to-Reward\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    A practical approach is to combine both concepts.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Step 1:<\/strong> Find the logical structural target.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Step 2:<\/strong> Measure the reward from the planned entry.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Step 3:<\/strong> Compare that reward with the required stop.<\/div>\n    <div><strong style=\"color:#e5b75d;\">Step 4:<\/strong> Take the setup only if it meets your minimum requirement.<\/div>\n  <\/div>\n\n  <div style=\"background:#eef8f4;border-left:5px solid #4e9b78;border-radius:10px;padding:22px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#285c47;\">\n      Structure chooses the destination. Risk-to-reward decides whether the journey is worth taking.\n    <\/strong>\n  <\/div>\n\n  <!-- BAD RR EXAMPLE -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Good Setup, Bad Target Space\n  <\/h2>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">Entry: <strong>1.1000<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Stop: <strong>1.0970<\/strong> = 30 pips risk<\/div>\n    <div style=\"margin-bottom:10px;\">Major resistance: <strong>1.1015<\/strong> = 15 pips reward<\/div>\n    <div style=\"font-size:21px;font-weight:850;color:#9f473b;\">\n      Available reward = only 0.5R.\n    <\/div>\n  <\/div>\n\n  <p style=\"margin:0;\">\n    The entry signal may look excellent, but the next major obstacle makes the trade unattractive.\n  <\/p>\n\n  <!-- CHASING AFFECT TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Late Entries Shrink Your Available Reward\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    This connects directly with Lesson 1.\n  <\/p>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">Ideal entry: <strong>1.1000<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Target: <strong>1.1060<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Available reward: <strong>60 pips<\/strong><\/div>\n    <div style=\"height:1px;background:#dfe5ea;margin:18px 0;\"><\/div>\n    <div style=\"margin-bottom:10px;\">Late entry: <strong>1.1040<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Same target: <strong>1.1060<\/strong><\/div>\n    <div style=\"font-size:21px;font-weight:850;color:#9f473b;\">Available reward: only 20 pips<\/div>\n  <\/div>\n\n  <div style=\"background:#fffaf0;border-left:5px solid #d5a84d;border-radius:10px;padding:22px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#0a2239;\">\n      Price moving in your expected direction does not mean the trade is still worth entering.\n    <\/strong>\n  <\/div>\n\n  <!-- EXTEND TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    The Danger of Moving the Target Farther Away\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Traders sometimes move their take-profit farther away because the trade is currently profitable.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    This can turn a planned exit into greed.\n  <\/p>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">Original target: <strong>2R<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Price approaches 2R.<\/div>\n    <div style=\"margin-bottom:10px;\">Trader changes target to 4R.<\/div>\n    <div style=\"margin-bottom:10px;\">Price reverses.<\/div>\n    <div style=\"font-size:21px;font-weight:850;color:#9f473b;\">\n      A planned winner becomes a much smaller result \u2014 or even a loss.\n    <\/div>\n  <\/div>\n\n  <!-- CUT TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    The Opposite Problem: Taking Profit Too Early\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Fear can be just as damaging as greed.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    Traders may plan a 2R target, then close at 0.4R because they are afraid the small profit will disappear.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:16px;padding:27px;margin:30px 0;\">\n    <strong style=\"display:block;color:#e6b95e;font-size:22px;margin-bottom:8px;\">\n      If your backtested strategy requires winners to offset losing trades, repeatedly cutting winners short can completely change the mathematics of the system.\n    <\/strong>\n  <\/div>\n\n  <!-- WIN RATE RR -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Target Size and Win Rate Work Together\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Larger targets can offer bigger individual winners, but they generally require price to travel farther before the trade succeeds.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    Smaller targets may be reached more frequently, but each winner contributes less.\n  <\/p>\n\n  <div style=\"overflow-x:auto;margin:25px 0 34px;\">\n    <table style=\"width:100%;border-collapse:collapse;min-width:700px;border:1px solid #e1e7ec;\">\n      <thead>\n        <tr style=\"background:#071b2d;color:white;\">\n          <th style=\"padding:16px;text-align:left;\">Average Winner<\/th>\n          <th style=\"padding:16px;text-align:left;\">Break-Even Win Rate*<\/th>\n        <\/tr>\n      <\/thead>\n\n      <tbody>\n        <tr>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\"><strong>1R<\/strong><\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">50%<\/td>\n        <\/tr>\n\n        <tr style=\"background:#f8fafc;\">\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\"><strong>2R<\/strong><\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">About 33.3%<\/td>\n        <\/tr>\n\n        <tr>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\"><strong>3R<\/strong><\/td>\n          <td style=\"padding:16px;border-bottom:1px solid #e1e7ec;\">25%<\/td>\n        <\/tr>\n\n        <tr style=\"background:#f8fafc;\">\n          <td style=\"padding:16px;\"><strong>4R<\/strong><\/td>\n          <td style=\"padding:16px;\">20%<\/td>\n        <\/tr>\n      <\/tbody>\n    <\/table>\n  <\/div>\n\n  <p style=\"font-size:14px;color:#6c7888;margin-top:-18px;\">\n    *Simplified before spreads, commissions, slippage and other costs.\n  <\/p>\n\n  <!-- REALISTIC -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    A Realistic Target Is Better Than an Impressive Target\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Traders often post enormous risk-to-reward screenshots because they look impressive.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    But an unrealistic 1:10 target that rarely gets reached can be less useful than a repeatable target supported by your tested strategy.\n  <\/p>\n\n  <div style=\"background:#eef8f4;border-left:5px solid #4e9b78;border-radius:10px;padding:22px 25px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#285c47;\">\n      Your goal is not to draw the biggest reward box. Your goal is to execute a repeatable process with positive expectancy.\n    <\/strong>\n  <\/div>\n\n  <!-- DIFFERENT MARKET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Different Markets Need Different Expectations\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Market volatility and behavior differ between instruments.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    A target that is realistic for EUR\/USD may not make sense for gold, an equity index or another instrument.\n  <\/p>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">\u2022 Consider average movement.<\/div>\n    <div style=\"margin-bottom:10px;\">\u2022 Consider the timeframe.<\/div>\n    <div style=\"margin-bottom:10px;\">\u2022 Consider nearby structure.<\/div>\n    <div style=\"margin-bottom:10px;\">\u2022 Consider active trading sessions.<\/div>\n    <div>\u2022 Consider scheduled economic events.<\/div>\n  <\/div>\n\n  <!-- SESSION TARGET -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Session Highs and Lows as Targets\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Intraday traders may monitor session extremes as potential objectives.\n  <\/p>\n\n  <div style=\"display:flex;flex-wrap:wrap;gap:10px;margin:24px 0 30px;\">\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">Asian High<\/span>\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">Asian Low<\/span>\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">London High<\/span>\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">London Low<\/span>\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">Previous Day High<\/span>\n    <span style=\"background:#071b2d;color:white;border-radius:9px;padding:12px 17px;font-weight:800;\">Previous Day Low<\/span>\n  <\/div>\n\n  <!-- NEWS -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Targets Around Major News\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Scheduled economic releases can dramatically change short-term market behavior.\n  <\/p>\n\n  <p style=\"margin:0 0 18px;\">\n    Price may accelerate through a normal technical target or reverse before reaching it.\n  <\/p>\n\n  <div style=\"background:#fffaf0;border:1px solid #ecd49c;border-radius:16px;padding:27px;margin:28px 0;\">\n    <strong style=\"font-size:21px;color:#172033;\">\n      Know when major economic events occur so your exit plan is not built as though volatility will remain normal.\n    <\/strong>\n  <\/div>\n\n  <!-- PARTIAL PREVIEW -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    What About Multiple Profit Targets?\n  <\/h2>\n\n  <p style=\"margin:0 0 18px;\">\n    Some traders divide a position into multiple exits.\n  <\/p>\n\n  <div style=\"background:#071b2d;color:white;border-radius:18px;padding:30px;margin:28px 0;\">\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">TP1:<\/strong> Close part of the position at an initial objective.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">TP2:<\/strong> Hold another portion toward a larger structural target.<\/div>\n    <div><strong style=\"color:#e5b75d;\">Runner:<\/strong> Potentially allow a smaller remainder to continue.<\/div>\n  <\/div>\n\n  <p style=\"margin:0;\">\n    This changes both your average reward and trade-management mathematics, so we will cover partial exits properly in the next lesson.\n  <\/p>\n\n  <!-- COMPLETE EXAMPLE -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Complete Bullish Target Selection Example\n  <\/h2>\n\n  <div style=\"background:linear-gradient(135deg,#071625,#0d304d);border-radius:18px;padding:31px;color:white;margin:28px 0;\">\n    <div style=\"font-size:13px;color:#e5b75d;font-weight:850;text-transform:uppercase;letter-spacing:1.3px;margin-bottom:15px;\">\n      Trade Plan\n    <\/div>\n\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Structure:<\/strong> Bullish.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Entry:<\/strong> 1.1000<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Stop:<\/strong> 1.0975<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Risk:<\/strong> 25 pips<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Previous High \/ Liquidity:<\/strong> 1.1055<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Planned Target:<\/strong> 1.1050<\/div>\n    <div style=\"margin-bottom:12px;\"><strong style=\"color:#e5b75d;\">Reward:<\/strong> 50 pips<\/div>\n    <div><strong style=\"color:#e5b75d;\">Risk-to-Reward:<\/strong> 1:2<\/div>\n  <\/div>\n\n  <!-- COMPLETE BAD -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Complete No-Trade Example\n  <\/h2>\n\n  <div style=\"background:#fff5f1;border:1px solid #f0d0c5;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:10px;\">Bullish confirmation: <strong>Strong<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Entry: <strong>1.1000<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Required stop: <strong>1.0970<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Risk: <strong>30 pips<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Major resistance: <strong>1.1018<\/strong><\/div>\n    <div style=\"margin-bottom:10px;\">Available reward: <strong>18 pips<\/strong><\/div>\n    <div style=\"font-size:21px;font-weight:850;color:#9f473b;\">\n      Strong setup. Insufficient target space. Skip.\n    <\/div>\n  <\/div>\n\n  <!-- TARGET PLAN -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Your Trading Plan Should Define Target Rules\n  <\/h2>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin:28px 0;\">\n    <div style=\"margin-bottom:11px;\">\u2713 Do you use fixed R targets?<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Do you use structural targets?<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Do you target opposing liquidity?<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Do you place TP slightly before major levels?<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 What is your minimum acceptable R:R?<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Are partial exits allowed?<\/div>\n    <div>\u2713 Under what conditions may a target be modified?<\/div>\n  <\/div>\n\n  <!-- COMMON MISTAKES -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 22px;font-weight:850;\">\n    Common Take-Profit Mistakes\n  <\/h2>\n\n  <div style=\"display:grid;gap:14px;\">\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Choosing a Dollar Goal Instead of a Market Target<\/strong><br>\n      Your desired profit does not determine how far price can realistically move.\n    <\/div>\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Forcing a Huge R-Multiple<\/strong><br>\n      A 1:5 target is meaningless if strong resistance sits at 1.5R.\n    <\/div>\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Ignoring Higher-Timeframe Structure<\/strong><br>\n      Lower-timeframe targets can run directly into major higher-timeframe obstacles.\n    <\/div>\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Extending Targets Because of Greed<\/strong><br>\n      Moving the goalposts can turn planned winners into disappointing exits.\n    <\/div>\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Closing Every Winner Early<\/strong><br>\n      Repeatedly taking tiny profits can destroy the expectancy of a strategy designed around larger winners.\n    <\/div>\n\n    <div style=\"border-left:4px solid #c88f2b;background:#f8fafc;padding:20px 22px;border-radius:8px;\">\n      <strong style=\"color:#0a2239;\">Ignoring the Actual Entry Price<\/strong><br>\n      A late entry changes the remaining reward and therefore the trade mathematics.\n    <\/div>\n\n  <\/div>\n\n  <!-- FRAMEWORK -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 18px;font-weight:850;\">\n    Take-Profit Selection Framework\n  <\/h2>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;\">\n    <div style=\"margin-bottom:12px;\"><strong>1.<\/strong> Identify the direction of the trade.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>2.<\/strong> Mark the next major structural objective.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>3.<\/strong> Identify opposing liquidity.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>4.<\/strong> Check higher-timeframe obstacles.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>5.<\/strong> Determine the realistic target.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>6.<\/strong> Measure reward from the actual entry.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>7.<\/strong> Compare reward with stop distance.<\/div>\n    <div style=\"margin-bottom:12px;\"><strong>8.<\/strong> Confirm the trade meets your minimum R:R.<\/div>\n    <div><strong>9.<\/strong> Set the target before executing the trade.<\/div>\n  <\/div>\n\n  <!-- CTA -->\n  <div style=\"background:linear-gradient(135deg,#071625 0%,#0d2d49 100%);border-radius:22px;padding:38px;margin:48px 0;color:white;box-shadow:0 20px 50px rgba(8,29,49,.18);\">\n\n    <div style=\"font-size:13px;color:#e7ba60;font-weight:850;text-transform:uppercase;letter-spacing:1.5px;margin-bottom:8px;\">\n      Know the Exit Before the Entry\n    <\/div>\n\n    <h2 style=\"font-size:34px;line-height:1.2;margin:0 0 14px;color:white;\">\n      Stop Guessing Where to Take Profit\n    <\/h2>\n\n    <p style=\"font-size:18px;color:#d3dfe9;margin:0 0 24px;max-width:800px;\">\n      Financial Markets Academy offers live 1-on-1 mentorship for traders who want to learn how entries, stop losses, realistic profit targets, position sizing and trade management fit together inside a complete trading plan.\n    <\/p>\n\n    <a href=\"https:\/\/financialmarkets.academy\/\" style=\"display:inline-block;background:#d9a849;color:#081a2c;text-decoration:none;font-weight:850;padding:15px 25px;border-radius:9px;font-size:16px;\">\n      Reserve Your Seat \u2192\n    <\/a>\n\n  <\/div>\n\n  <!-- CHECKLIST -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 20px;font-weight:850;\">\n    Take-Profit Checklist\n  <\/h2>\n\n  <div style=\"background:#f8fafc;border-radius:18px;padding:28px;border:1px solid #e1e7ec;\">\n    <div style=\"margin-bottom:10px;\">\u2713 Where is the next major structural level?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 Where is opposing liquidity?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 Is there higher-timeframe support or resistance in the way?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 What is the realistic target from my actual entry?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 What is my stop distance?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 What R-multiple does the target provide?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 Does it meet my minimum risk-to-reward?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 Am I forcing the target beyond obvious structure?<\/div>\n    <div style=\"margin-bottom:10px;\">\u2713 Is the planned exit written down before entry?<\/div>\n    <div>\u2713 Am I prepared to follow that plan once money is on the line?<\/div>\n  <\/div>\n\n  <!-- FAQ -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:52px 0 22px;font-weight:850;\">\n    Frequently Asked Questions\n  <\/h2>\n\n  <div style=\"display:grid;gap:15px;\">\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">Where should I set my take profit?<\/h3>\n      <p style=\"margin:0;\">\n        A take-profit level can be based on meaningful market structure, support or resistance, swing points, opposing liquidity and your strategy&#8217;s minimum risk-to-reward requirements.\n      <\/p>\n    <\/div>\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">What is an R-multiple in trading?<\/h3>\n      <p style=\"margin:0;\">\n        An R-multiple measures profit or loss relative to the amount initially risked. A 2R winner earns twice the amount that was initially at risk.\n      <\/p>\n    <\/div>\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">Is a 1:2 risk-to-reward always good?<\/h3>\n      <p style=\"margin:0;\">\n        Not automatically. A 1:2 target should still be realistic based on the strategy, market structure and probability of reaching the target.\n      <\/p>\n    <\/div>\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">Should I target previous highs and lows?<\/h3>\n      <p style=\"margin:0;\">\n        Previous structural highs and lows can be useful target references because they may represent resistance, support or liquidity, but they should be evaluated within the complete setup.\n      <\/p>\n    <\/div>\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">Should I put my take profit slightly before resistance?<\/h3>\n      <p style=\"margin:0;\">\n        Some strategies do this because price may reverse before reaching an exact visible level. Whatever method you use should be defined consistently in the trading plan.\n      <\/p>\n    <\/div>\n\n    <div style=\"border:1px solid #e1e7ec;border-radius:14px;padding:24px;\">\n      <h3 style=\"margin:0 0 10px;font-size:21px;color:#0a2239;\">Can I change my take profit after entering?<\/h3>\n      <p style=\"margin:0;\">\n        A tested trade-management plan may allow target adjustments under specific conditions, but changing the target because of fear or greed creates inconsistency.\n      <\/p>\n    <\/div>\n\n  <\/div>\n\n  <!-- QUIZ -->\n  <div style=\"background:#071b2d;border-radius:22px;padding:36px;margin:52px 0;color:white;\">\n\n    <div style=\"color:#e5b75d;font-size:13px;text-transform:uppercase;font-weight:850;letter-spacing:1.5px;margin-bottom:6px;\">\n      Test Yourself\n    <\/div>\n\n    <h2 style=\"font-size:32px;margin:0 0 25px;color:white;\">\n      Module 4 \u00b7 Lesson 3 Knowledge Quiz\n    <\/h2>\n\n    <div style=\"margin-bottom:22px;\">\n      <strong>1. What should primarily influence a realistic target?<\/strong>\n      <div style=\"color:#c9d5df;margin-top:8px;\">\n        A. Market structure and the trading plan<br>\n        B. How much money you want today<br>\n        C. Yesterday&#8217;s loss<br>\n        D. Maximum leverage\n      <\/div>\n    <\/div>\n\n    <div style=\"margin-bottom:22px;\">\n      <strong>2. What does a 2R winner mean?<\/strong>\n      <div style=\"color:#c9d5df;margin-top:8px;\">\n        A. The profit is twice the amount initially risked<br>\n        B. The account doubled<br>\n        C. The stop is twice the target<br>\n        D. Two trades were taken\n      <\/div>\n    <\/div>\n\n    <div style=\"margin-bottom:22px;\">\n      <strong>3. What can be a logical bullish target?<\/strong>\n      <div style=\"color:#c9d5df;margin-top:8px;\">\n        A. Previous swing high or buy-side liquidity<br>\n        B. A random price above entry<br>\n        C. The amount needed to recover a loss<br>\n        D. Maximum possible price\n      <\/div>\n    <\/div>\n\n    <div style=\"margin-bottom:22px;\">\n      <strong>4. What if resistance appears before your strategy&#8217;s minimum target?<\/strong>\n      <div style=\"color:#c9d5df;margin-top:8px;\">\n        A. The trade may not qualify<br>\n        B. Ignore resistance<br>\n        C. Increase leverage<br>\n        D. Remove the stop\n      <\/div>\n    <\/div>\n\n    <div style=\"margin-bottom:22px;\">\n      <strong>5. Why can a late entry damage target quality?<\/strong>\n      <div style=\"color:#c9d5df;margin-top:8px;\">\n        A. Less reward remains before the target<br>\n        B. It changes the previous high<br>\n        C. It guarantees a loss<br>\n        D. It eliminates risk\n      <\/div>\n    <\/div>\n\n    <div style=\"background:rgba(255,255,255,.07);padding:18px;border-radius:10px;color:#d9e3eb;\">\n      <strong style=\"color:#e5b75d;\">Answer Key:<\/strong> 1. A \u00b7 2. A \u00b7 3. A \u00b7 4. A \u00b7 5. A\n    <\/div>\n\n  <\/div>\n\n  <!-- TAKEAWAYS -->\n  <h2 style=\"font-size:34px;color:#0a2239;margin:50px 0 20px;font-weight:850;\">\n    Key Takeaways\n  <\/h2>\n\n  <div style=\"background:#f8fafc;border:1px solid #e1e7ec;border-radius:18px;padding:28px;margin-bottom:45px;\">\n    <div style=\"margin-bottom:11px;\">\u2713 Profit targets should be based on the market, not desired income.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Previous highs and lows can provide structural targets.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Opposing liquidity can provide logical objectives.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 R-multiples measure reward relative to initial risk.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 A fixed R target should not ignore obvious market structure.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Structural targets should still meet your strategy&#8217;s reward requirements.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Higher-timeframe obstacles can limit lower-timeframe target potential.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Late entries reduce the amount of reward remaining.<\/div>\n    <div style=\"margin-bottom:11px;\">\u2713 Greed can push targets too far; fear can cause winners to be cut too early.<\/div>\n    <div>\u2713 Know your exit before entering the trade.<\/div>\n  <\/div>\n\n  <!-- NEXT -->\n  <div style=\"border:1px solid #d8e0e6;border-radius:20px;padding:32px;background:#ffffff;box-shadow:0 10px 30px rgba(10,34,57,.06);\">\n\n    <div style=\"font-size:13px;color:#b77f20;text-transform:uppercase;letter-spacing:1.4px;font-weight:850;margin-bottom:7px;\">\n      Coming Next\n    <\/div>\n\n    <h2 style=\"font-size:30px;color:#0a2239;margin:0 0 13px;\">\n      Lesson 4: Breakeven, Partial Profits &amp; Trailing Stops\n    <\/h2>\n\n    <p style=\"margin:0 0 20px;color:#465367;\">\n      Setting the original stop and target is only the beginning. In Lesson 4, we cover what happens after the trade starts moving \u2014 including when to move to breakeven, how partial exits change your mathematics and when trailing a stop can help or hurt.\n    <\/p>\n\n    <div style=\"font-weight:800;color:#0a2239;\">\n      Learn How to Manage an Open Trade \u2192\n    <\/div>\n\n  <\/div>\n\n  <!-- DISCLAIMER -->\n  <div style=\"margin-top:35px;padding-top:22px;border-top:1px solid #e0e6eb;font-size:13px;color:#748091;line-height:1.6;\">\n    Financial Markets Academy provides educational information only. Nothing in this lesson constitutes financial or investment advice or a guarantee of trading performance. Trading leveraged financial markets involves substantial risk and may not be suitable for everyone.\n  <\/div>\n\n<\/div>\t\t\t\t\t\t\t\t<\/div>\n\t\t\t\t<\/div>\n\t\t\t\t\t<\/div>\n\t\t\t\t<\/div>\n\t\t\t\t<\/div>\n\t\t","protected":false},"excerpt":{"rendered":"<p>Module 4 \u00b7 Entries, Stop Losses &amp; Trade Management \u00b7 Lesson 3 Take Profit &amp; Target Selection: How to Set Realistic Profit&hellip;<\/p>\n","protected":false},"author":1,"featured_media":18478,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"om_disable_all_campaigns":false,"inline_featured_image":false,"_monsterinsights_skip_tracking":false,"footnotes":""},"categories":[42],"tags":[],"class_list":["post-18466","post","type-post","status-publish","format-standard","has-post-thumbnail","hentry","category-module-4"],"aioseo_notices":[],"aioseo_head":"\n\t\t<!-- All in One SEO 5.0.0.1 - aioseo.com -->\n\t<meta name=\"description\" content=\"Module 4 \u00b7 Entries, Stop Losses &amp; Trade Management \u00b7 Lesson 3 Take Profit &amp; Target Selection: How to Set Realistic Profit Targets Before You Trade Learn how to choose take-profit levels using market structure, support and resistance, opposing liquidity, R-multiples and realistic price objectives instead of arbitrary profit goals. 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