- Took to much risc. (actually incidentally by not checking how much equity I do put in the trade)
- Keep in mind some opinions in last week webinar with prospects for coming week.
- Not following a trend. My LONG trade was taken in the middle of progressing down trend.
- Because of high stakes I’am reluctant to close the trade.
- I think we will get double bottom formation and might recover.
- Political situation and tensions in Ukraine can have unexpected effects on market.
Result was -45 pips because I was hoping and did not cut the trade.