Closed NQ at neutral in total, waiting for more movement. Can go either way here and seriously afraid of over-optimizing my thoughts dependent on bullish outcomes last week.
Closed NQ +300 total after opening another position instead of closing and getting stopped. MFE near 1000 IIRC Overall having a hunch it's not gonna work "yet another time" just being long until end of day. Hence I am skittish. Overall just noise trading too much atm anyway (today's clean trend was the 9674 drop). Having 9534 as another alert level.
Closed for +56, don't want to sit on such a large position if it isn't moving in my way. Need to downsize before weekend gap anyway.
Account up about 800 yesterday including unrealized profit. => I would have been at new highs without retarded tiredness/overconfidence trade a day prior. I keep gripping a bit about missing out on the great downtrend during US session, but time to bury that and focus on the future. Will see what Friday brings, US session could be eventful. Still looking for that home run that I haven't had a replay of since start of Jan. To be fair, just holding my dip buys today would have yielded 6k, so my unwillingness to tolerate the risk I sign up for is part of it.
Buy XAUUSD x 88 @ 1536.67 Small $100 bet on breakout here Missed main trend during late Asian session (damn this thing called sleep) but maybe it will resume here.
Close +520 (Not seeing any corresponding fall in equities which makes me suspect it may well back a bit.)