You were down 9K... as expected from me
When i analyze your approach I see the weakness and strength of it: it is the wideness of adding (betw. 30 and 70 points, agressiv 10) which is good on 95% of market condition but worse on high driving markets because you get sucked in then. I would be raised out at 150 points run through due to high frequency scalping but much smaller gains than you. Of course I also adapt my positionmanagement to markt conditions but THAT APRIL 2025 - would have hit me also hard due to unexpected, extreme volatility.