MB: Mitigation Block
MMBM: Market Maker Buy Model
MMSM: Market Maker Sell Model
MTH: Mean Threshold (50% from OB)
NFP: Non-Farm Payroll
OB: Order Block
OHLC: Open High Low Close
OSOK: One Shot One Kill
OTE: Optimal Trade Entry
PA: Price Action
PB: Propulsion Block (OB in a OB)
PO3: Power Of 3
PDH: Previous Day High
PDL: Previous Day Low
PWH: Previous Week High
PWL: Previous Week Low
RN: Round Numbers
RJ: Rejection Block
RTO: Return to Order Block or Origin
SH: Stop Hunt
SIBI: Sellside Imbalance Buyside
InefficiencyADR: Average Daily Range
AMD: Accumulation Manipulation Distribution
ATR: Average True Range
BB: Breaker Block
BISI: Buyside Imbalance Sellside
Inefficiency
BMS: Break in Market Structure
BSL: Buy Side Liquidity
CBDR: Central Bank Dealer Range
CE: Consequent Encroachment (50% of a FVG)
COT: Commitment of Traders (report)
CME: Chicago Mercantile Exchange (Bond
Market Open)
EQH: Equal High
EQL: Equal Low
FVG: Fair Value Gap (imbalance)
HRLR: High Resistance Liquidity Run
HTF: Higher Timeframe
IOF: Institutional Order Flow
IOFED: Institutional Order Flow Entry Drill
IPDA: Interbank Price Delivery Algorithm
LP: Liquidity Pool