So i trade half breakout trades and half retest trades and take the draw-down on retest.
First thing when markets open i place sell stops below the channels.
I have 1 short, the idea is that i end up with 4 (1+ (6 x 0.5)) and just risked 1 at all times.
On a clean break without retest i still have 2.5 short but less risk.