Reid_Hicks

S&P500 Short

Short / Sell position this morning.

Entry: A1
TF (Time Frame of Entry): 15M
Trend (Y/N): Y

Trade Grade (ABC): A
Result: +0.68%
Exit: Manual Close at TP level because +5 spread.

Post Analysis:
increased risk from 0.22 to 0.52 and still feel comfortable.

TV says 3% win but in reality +0.68%

Performance Grade: A





woke up at 3:44am
entry at 3:51am.
I feel very patient and calm this morning. Both solar appoints have been cancelled/rescheduled.

note: trade copier did not copy this trade. seems like it doesn't copy SP500?

placed a test trade of 0.01 to see but it did not copy. scratch the 2nd trade. (-$0.15)

question - at what point do I say okay, time to TP?
1st target hit of 200 EMA
2nd target ADR low.

winning action for this trade: increased risk, from 0.22 > 0.52 lot. Still micro and can be increased and maybe settle around .55 lot and get used to that.

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