Friday pressure messes with my head.
I look at the week and think, one big trade fixes this.
So I doubled my risk. Too much. Too fast. Suddenly it’s no longer a setup. It’s a gamble.
The logic sounds smart at the moment. “End the week strong.”
What I’m really chasing is relief, not opportunity.
When the price pulls back, my heart rate jumps.
Fear replaces patience, dopamine replaces discipline.
The loss hurts, but the lesson hurts more.
Overleveraging doesn’t recover weeks. It destroys them.
Now I do the opposite.
↬ Same rules. Same risk. Even on Fridays.
↬ Consistency beats hero trades. Every single time.
Be honest, how many weeks did you blow trying to finish strong?


