Just a quick note while the kids nap: Both losing trades today would have been profitable had I not had such a tight stop or screwed around with the stop loss.
The aussie alone would have been 40+ pips at 2% risk.
UPDATE: OK, what can you do but shake it off. The aussie went up nearly 90 pips. Even the cable which had a relatively flat day would have made you 40 pips.
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