Tue 05/06: the ER wiggled all around me yesterday. Was long three times and short seven times total. Tried to hold for distance, got stopped out on deep retracements (long) or bumped out from brief drops with buy-program slams.
Net result was -4pts total. Had two chances to finish at breakeven for the day, held loose stops looking for net profits and ended negative.
Oh well... there's always tomorrow. You know the drill: double-down on trade size, revenge trade, lose control, break discipline. All the things we've all done before.