Traded most of my day. Scalp a lot. This and that. Basically, I think I need to cut down the number of trades and take each position more seriously. Less words more screens today.
Scalp couple of trades in Eur/Usd.
Got killed by the cable bad data release on Halifax & Manufacturing Production.
My only hope now lies with Aussie. Take-profit @ 0.8800. But it seems awful. It went up to 0.8790 and now back at 0.8758. :(