Got chopped today 
I knew it is FED day, I knew I have to be prepared for the chop.
Well I did 5 trades and non of them worked ⦠And all the trades where basically from the same S/R level @ 712.8.
I did 3 trades in the morning.
Trade 1 to 3 â market was testing 712.8 area, and there was a visible resistance. So I sold it. Three times in the row. Was quick in cutting loses, lost -70 USD on three trades. So risk management was still OK. What was wrong here â well I should perhaps just leave the trades alone from the beginning. Especially after the price action penetrated the S/R level so much after my first trade.
Then I waited for FED to see some volatility.
But FED was really weak today. No trend. When the price got above the 713 area, I felt the market could be overbought. ES and TF did new HOD, but YM didnât have the power to do that. So my plan was to try to short the market on some pullback. I was very inpatient with Trade 4. More over, I got too married into the trade. I could end this trade on much better price several times. This was really the main mistake of the day â trade management of this trade. -100 USD.
Trade 5 was last attempt to trade this area. Market finally did moved a bit in my direction, but I was hopping for some volatility move after all this crap. Did not happed. Leaved MFE +140 on the table and got out with B/E.
Total P/L for the day -170 USD
I knew it is FED day, I knew I have to be prepared for the chop.
Well I did 5 trades and non of them worked ⦠And all the trades where basically from the same S/R level @ 712.8.
I did 3 trades in the morning.
Trade 1 to 3 â market was testing 712.8 area, and there was a visible resistance. So I sold it. Three times in the row. Was quick in cutting loses, lost -70 USD on three trades. So risk management was still OK. What was wrong here â well I should perhaps just leave the trades alone from the beginning. Especially after the price action penetrated the S/R level so much after my first trade.
Then I waited for FED to see some volatility.
But FED was really weak today. No trend. When the price got above the 713 area, I felt the market could be overbought. ES and TF did new HOD, but YM didnât have the power to do that. So my plan was to try to short the market on some pullback. I was very inpatient with Trade 4. More over, I got too married into the trade. I could end this trade on much better price several times. This was really the main mistake of the day â trade management of this trade. -100 USD.
Trade 5 was last attempt to trade this area. Market finally did moved a bit in my direction, but I was hopping for some volatility move after all this crap. Did not happed. Leaved MFE +140 on the table and got out with B/E.
Total P/L for the day -170 USD
If I trade there, I am sure my P/L would be much worse..