The overall volatility caused the stops to be hit quite often thus the net expected return diminished significantly to minus.
I have to increase the expected return per trade by:
1.Reducing size
2.Stop further away so I will stop if and when I realize the trade wont work not when market volatility hits the stop.
3.Expected profit much higher. 1 euro risk 5 euro return setups.
New beginning .New month.
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