Brothers, let me see what's going on. Did I not tell you that as soon as the market opened, good news means it will rise, and bad news means it will consolidate? Yesterday was good news, remember?
I had my short position set at 2578, initially thinking I was ambushing the market maker, but unexpectedly fell into their trap.
Currently, my position is still in place, but I hedged a bit at 2625. My long position at 2700 was closed with a profit, and now I only have the long position at 2578. Overall, considering all funds, I am still at a slight loss.