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View yearly options →Drawdown Recovery System (2025): From Red Days to Resilience
Losses are tuition—only if you keep them small and learn fast. This system aligns recovery with FXPremiere’s TP1 / TP2 / Runner structure, ~0.5% risk per setup, and a ~1.5% daily stop. Times in GMT.
Drawdown Recovery System (2025): From Red Days to Resilience
Summaries:
EN: Stop at ~1.5% DD. Reset. Next session start with half size on the first A+ retest setup. TP1 is mandatory; rebuild slow.
简体中文: 单日回撤约 1.5% 即停止;复盘后隔日以半仓从 A+ 回测入场;TP1 必取,稳步恢复。
繁體中文: 單日約 1.5% 回撤就停手;復盤後隔天以半倉從 A+ 回測起步;TP1 必拿,慢慢恢復。
Singlish: Hit ~1.5% DD, stop liao. Review, next day half size, only A+ break→retest. TP1 must take.
1) Stop the Bleed (Same Day)
- Hit ~1.5% DD? Stop trading immediately.
- No “get it back.” Tilt costs weeks of progress.
- Archive the day: screenshots: entry, exit, context.
2) 20-Minute Reset (Same Day)
- Walk. Water. 10 slow breaths (4–7–8).
- Write the one behavior that failed (e.g., chased first spike).
- Define its replacement (e.g., trade the retest only).
3) Half-Size Comeback (Next Session)
- First valid A+ break→retest only.
- Risk ~0.25% (half of normal 0.5%) on the first trade.
- TP1 mandatory → SL to BE → consider stopping green.
4) Two-Clean-Trade Rule
- Log two clean executions (even if small wins/BE).
- Then restore risk to ~0.5% per setup.
- Still honor the ~1.5% daily drawdown cap.
5) Journal Template (2 Minutes)
Date (GMT): __________ Session: London / NY / Asia DD so far: _______% Max daily: 1.5% Mistake (root cause): - e.g., chased first spike / ignored acceptance / oversized / skipped TP1 Replacement behavior (next session): - Wait for acceptance; trade retest; size = 0.25% first trade First A+ setup plan: - Context (HTF) __________ - Acceptance above/below OR/VWAP? __________ - Trigger: HL (long) / LH (short) at __________ - TP1 at FTA: __________ → SL to BE - TP2: __________ Runner trail: VWAP / HL-LH
Why Small Holes Recover Faster (Math)
A −1.5% day needs ~+1.52% to recover; a −5% day needs ~+5.26%. Keeping losses small preserves both equity and decision quality.
Guardrails
- No averaging down—ever.
- No first spikes on red news; trade the second move.
- TP1 is non-negotiable.
When to Reduce Size
- Elevated IV (wider wicks/spreads).
- Emotional residue (tilt, rush, fear).
- Two mistakes in one session → half size.
When to Increase Size (Back to Normal)
- Two clean trades logged (rules fully obeyed).
- Calm state restored; checklist automatic.
- Market conditions match your playbook.
FAQ — Recovery & Resilience
Should I trade to recover the same day?
No. After ~1.5% DD, stop for the day. Come back with half size and clarity.
What if I miss the next A+ setup?
Skip it. Missing one trade is cheaper than forcing a low-quality one. Your edge lives in retests with acceptance.
How do I avoid the same mistake?
One behavior change per session. Install it via the 2-minute journal and say it out loud before the next trade.
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