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Took 3 different trades today on just 3 accounts. Executions were horrible in that I got out way too soon. I need to stop looking at the P/L and maybe scale out some initially in profits, then keep runners to profit targets based on market structure. Also with Powell speaking at 11, I think I will quit for the week and enjoy the weekend. Still learning.

4 trades this morning. First off the 1m and 5min levels I created this morning on ES and the second was off an older 1m level (should be invalid) but I traded it and sold on the spike up. 2 contracts each trade. The 3rd trade was a break of my 1m level short. 4th trade was a banger. Went short just prior to the news. Rithmic trader was not working and neither was the trade copier, so eventually had to close out manually. I was also sized in pretty heavily, 8 contracts max at one point.

Traded some in the morning, but this was the bigger move scalp.. Traded off the 45m supply zone, when the stock pumped hard into it, I went short, exited the trade in the same minute scaling out. I was in pretty heavy. I added as it was going in my favor. Traded one more time on a pullback and spike. Now quitting for the day.
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