Hi,

today I had again mixed day. Few positions finised with a profit, but majority with a loss. Majority of my positions were opened to SHORT direction. The reason why I opened them was, that I believed, that the macros from US, which was published today, will be below the market expectation. The real results were higher, so the market reacted with a move up. That move was not very strong, but it was oposite to my expectation. I decided to close the positions in the afternoon, with a minimized loss, what showed later as good decission.
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