Here sometimes is situation that you have very little price to move and hit TP. And then decides not to hit and hits SL.
If I close part of position near TP, I might lose profits.
But from time to time when it happens when I do not win with position which was close to TP - I also loose some profits.
So I am not sure which one will loose more profits. This could be simulated if the system programmed by bot. But if the system is hard to program, like with fundamentals, or support resistance levels, then I do not know how to calculate which is more profitable.
example how I lost 1,1637 was TP, 1,1653 - SL. I needed only 2 points. Which in percentage was quite big. because of this tight range.
If I close part of position near TP, I might lose profits.
But from time to time when it happens when I do not win with position which was close to TP - I also loose some profits.
So I am not sure which one will loose more profits. This could be simulated if the system programmed by bot. But if the system is hard to program, like with fundamentals, or support resistance levels, then I do not know how to calculate which is more profitable.
example how I lost 1,1637 was TP, 1,1653 - SL. I needed only 2 points. Which in percentage was quite big. because of this tight range.