A key feature of this model is its reliance on London and New York session alignments, ensuring optimal trade execution. The strategy emphasizes Daily Bias analysis, liquidity sweeps, and multi-timeframe market structure shifts (MSS), providing a structured method for achieving a minimum risk-to-reward ratio of 1:3.
With its focus on liquidity grabs and market structure shifts, the ICT 2022 strategy has become one of the most popular trading methodologies among professional traders.
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What Is the ICT 2022 Mentorship Trading Strategy?
The ICT 2022 Mentorship trading model is an algorithmic-based strategy that leverages price imbalances and liquidity dynamics. Its core principle revolves around syncing price movements with key trading sessions, particularly the London and New York opens.
Key Components of the ICT 2022 Strategy:
- Daily Bias Identification (Bullish/Bearish Trend)
- Liquidity Sweeps (Highs & Lows from Previous Sessions)
- Fair Value Gaps (FVG), Order Blocks, and Breaker Blocks
- Market Structure Shifts (MSS) for trade confirmation
- Premium & Discount Zones for optimal entries
How Does the ICT 2022 Trading Model Work?
Step 1: Determine the Daily Bias
Before executing any trades, traders must first identify the prevailing market trend (Daily Bias). This ensures alignment with the dominant momentum.
Step 2: London Session Trading (03:00 AM New York Time)
- Mark the Highs & Lows – Identify the price range between Midnight NY Open (12:00 AM) and London Open (03:00 AM).
- Wait for Liquidity Sweep – Price will typically sweep either the high or low of this range.
- Look for Market Structure Shift (MSS) – After the sweep, switch to lower timeframes (5M, 3M, 1M) to confirm a reversal.
- Identify Key Zones (FVG, Order Blocks, Breaker Blocks) – These act as entry triggers in premium/discount areas.
- Execute the Trade –
- Sell Trade: Stop Loss above London High, Take Profit at Range Low.
- Buy Trade: Stop Loss below London Low, Take Profit at Range High.
Step 3: New York Session Trading (08:00 AM New York Time)
Two possible scenarios occur in the New York session:
Scenario 1: Liquidity Sweep During London Session
- Price retraces into Fibonacci OTE (Optimal Trade Entry) levels (61.8% - 79%).
- Confirm MSS in lower timeframes before entering.
Scenario 2: London Session Remains Range-Bound
- Mark the Highs & Lows of the London session range.
- Wait for New York session to sweep liquidity (either high or low).
- Enter on retracement to FVG/Order Block with confirmed MSS.
Why Are London & New York Sessions Ideal for Trading?
- London Session (03:00 AM - 12:00 PM EST): High volatility due to institutional participation.
- New York Session (08:00 AM - 05:00 PM EST): Overlaps with London, creating strong momentum.
- New York Kill Zones (08:00 AM - 12:00 PM EST): Best for high-probability setups.
Best Timeframes for ICT 2022 Strategy
- Daily Chart
- Used to determine the Daily Bias (bullish or bearish trend).
- Helps align trades with the broader market direction.
- 1-Hour Chart
- Provides a higher-timeframe perspective of the trend.
- Useful for confirming key support/resistance levels.
- 15-Minute Chart
- Key for identifying liquidity zones (highs/lows).
- Helps spot Fair Value Gaps (FVG) and Order Blocks.
- 5-Minute / 3-Minute / 1-Minute Charts
- Used for precise entry confirmation.
- Helps detect Market Structure Shifts (MSS) in real-time.
- Ideal for final trade execution with tight stop losses.
Types of Liquidity in ICT Trading
- Previous Day High/Low (PDH/PDL)
- Previous Session High/Low
- Previous Week High/Low
- Consolidated Highs/Lows (15M Chart)
- Gap Fills (NWOG/NDOG – Weekly/Daily Open Gaps)
Best Markets for ICT 2022 Strategy
The strategy performs exceptionally well in:
- Indices (Nasdaq 100, S&P 500 E-mini)
- Forex Majors (EUR/USD, GBP/USD, USD/JPY)
- Precious Metals (XAU/USD – Gold)
Conclusion
The ICT 2022 Mentorship trading strategy provides a systematic approach to trading by combining liquidity analysis, session timing, and market structure shifts. By mastering FVG, Order Blocks, and Breaker Blocks, traders can execute high-probability trades with consistent risk-to-reward ratios.
Whether trading forex, indices, or commodities, this model offers a clear, repeatable framework for success in financial markets.