thoughs:
it seems Ive built up a great risk position on this sale,
though I have been long trough with risk control problems.
I have felt strong on this position, and tried to put the S/L right next to the each full contract sale Ive put.
though I have left the position having an overall 2.5 contract on sale with a risk of about 18% of the capital. Either this is a new stage for me where I decide to push the limits on some moments or simply having risk problems.
@ 13:03
eurusd
market sell 1.3145
0.5
S/L 1.3185
T/P 1.3109
@ 15:42
eurusd
market sell 1.3145
0.5
closed manually -$110
(the price broke through the channel on 15m chart (was a false break))
picture where the sell was closed, and got envolved in "scalping lags" :)
eurusd 8.03.07 15m(2)
from 15:45 to 16:40
noticed my dealer lagging,
using the other data provider tried to use the lag to profit, as having no expirience in this had an overall loss, there fore:
6 trades closed overall -$15
@ 15:57
seeing a good breakthrough, and confirmation
on the second data provider selling late:
eurusd
market sell 1.3137
0.5
S/L 1.3171
T/P 1.3025
@ 16:00
adding on the possition a full contract
eurusd
market sell 1.3141
1.0
S/L 1.3171
T/P 1.3025
@ 16:10
adding on the possition a full contract
eurusd
market sell 1.3132
1.0
S/L 1.3171
T/P 1.3025
(very soon putting a S/L in +1 point) stoped out @ 16:40 +$10
@ 18:14
adding on the possition a full contract
eurusd
market sell 1.3134
1.0
S/L 1.3133
T/P 1.3025
open reason:
eurusd 8.03.07 1h
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