I ended up closing my EU short yesterday for a few pips.
I closed my UJ long for a loss.
Kinda funny how it's been bouncing off 90 so many times, then the day I cut, it drops under. So I'm happy my gut was telling me something wasn't right.
I ended up losing a nice chunk of $$ though, still up 30% since June. I think I'm withdrawing my initial + a few extra, leaving around $500 in. Then, I'm going to wait for a perfect set up, and go in Balance divided by 100, for my lot size, with a TP @ support or 100 pips. So a double or more per trade.
Double or bust. I like those odds. If I go 3-3, ;-)