I put take-benefit purchases and stop-losses during the transaction, I mean when I analyze the data I estimate the route and the close costs that the industry will hit, and I put a stop-loss with the cash I approve of dropping it all my strategy and I think it nice. Very true, if you prefer to use a stop loss strategy rather than waiting, please continue. Stop losses can prevent us from losing big as long as it's not accompanied by greed. So you have to determine how many times the OP day. If there is an SL touched then the OP is always the same again, after a long time the capital also runs out.