My rules dictate that after I take the first chunk of my position off of the board, I move my stop to BE+1. Today was an example that if I hadn't, the trade would have been more profitable. What variables went into this decision?
I know that this rule of my system is all about avoiding unnecessary risks. I would hate to turn a winner into a loser. After all, I am willing to accept the or I am willing to let go of the trade. I wasn't willing to take the risk. So my rules let go of the trade for me.