So… reviewing, I deposit 300usd and withdraw 2000. What incredible feeling.
But something change, things feel different.
What? You may asking yourself… Things started to care. Before I withdraw, this was just a game, now was real. Before, I opened positions without hesitation or fear, almost without think (obviously with previous analysis).
Doing the same things that I did from the beginning, basically trading by intuition, I reached my peak in July 11th of 33737.14 in my balance, but my equity was 15118.28, that means that I had -18618.86 in open positions.
My biggest mistake was not to have a money management plan. As my balance was increasing, my positions too. I started with positions of 5000 and 10000, later 20000, 40000, and 80000. Finally positions of 100000, 200000 and 400000.
Now I can say, What the hell was you thinking… 40usd per pip? And you can anticipate what happened with all this over leveraged positions…
As a plane with a problem, I was a fireball crashing with the ground. July 17th was the end… my balance was 19.78 usd.