But 2 small adjustments and the result is +18.0% .......and this is keeping risk to just 2% each trade.
Adjustment 1:
wait for a lower low (shorting)/ higher high (buying) after signal bar before entry or order.
(*3 to 5 pips off 240M depending on pairs ADR; 10 pips off day chart)
Adjustment 2:
unless an error has been made, stop meddling with the SL/ TP once position is open.
jungles, are you using a tweeked version of one of your other strategies that you use in the "prop challenge" thread ? or something completely different ?
jungles, are you using a tweeked version of one of your other strategies that you use in the "prop challenge" thread ? or something completely different ?