LONG postion just lost around 0.52% so now the updated perfomance of this month is at +2.65% - so far
risk 2% = +5.3%
So far this has been one of my worse months in the last year. However its better than a loss so its something i can deal with.
All trades are taken on an allocated capital of 100k, Meaning, in cash terms this month has netted me $5,300 so far, Not the best but also not the worst outcome.