I passed a chance of taking profits of my big position and eventually had to cut the loss at the last minute. The difference on P&L from this decision is more than $6000.
I'm back! Took some much needed time off and regrouped and traded on simulator for a bit. Threw out most of my systems and am proceeding forward with more discretionary control of my entries and exits.
My May numbers:
-$840 net, 66 ER2 and 1 ES contracts traded
This is garbage - not to mention I have had two power failures in the area in the last ten minutes. Calling it a day before I get fleeced, you know, murphys law and all that.