Today risk was small, pretty good set up with good timing. Instead of sizing up with small risk like normal, I left the size alone because the price action hasn't been great lately, I figured I'd rather win small than lose big if the poor price action continued plus I was trading into a possible double top and I wanted to be out there any way.
So one and done today. Bought 53.00 and exited at 53.16 with 5 ticks of overall risk.
Today is final exam review day and then final exam tomorrow or the next day depending on how today goes. Then that's it for the degree...its almost over!!!