Example trade
EUR/USD — entry 1.1000, stop 1.0975, target 1.1050, risk 0.50%, planned ratio 1:2. Exit at 1.1035.
Context
London session, continuation setup, lower-timeframe confirmation and risk defined before entry.
Behaviour
Emotion: calm. Mistake: early exit after a small pullback without a predefined management rule.
Review
The setup was coherent and risk controlled. Improvement: define the partial or early-exit rule before entering.
FAQ
Should the example include profit?
It can, but the review should focus mainly on process quality and risk.
Numbers or comments?
Both: numbers measure; comments explain behaviour.
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