Schaefer,
Good advice.. that's the key reason my screen setup minimizes the shorter time-frame as it should be used for entry only and nothing else. Once I hopefully reach escape velocity (That level at which gravitational pull (risk) drops off) patience SHOULD return. Below is the risk matrix I am using. Yes 2 contracts puts me as close to 2% as I dare which may have manifested itself on Friday.. Could be 1% is ideal. Not sure at this point. A second contract also satisfies the take profit urge I have as it gives me a runner. You could also say I simply need more capital. I could also consider the single contract the runner and a "trading" contract overrated.