I entered long at €11.48 on January 13th and exited at €12.32 on the 21st for a gross gain of +7.3%. I'm happy with the entry I took since the trend was up, the index's bias was up and the drawdown has been minimal (it lasted just one day). My mistake has been closing the trade too soon. Waiting for confirmation of no demand (candle 10), would have kept me in. Also, from a VSA perspective, no demand in an up-trend doesn't trigger an exit until the background, as in this case, is still strong. I'm not satisfied with my decision also because my intention when entered in this trade was to keep it going until I would have more than one sign of weakness, since it is important riding a trend and avoid too much trading due to costs. This is an aspect I will pay more attention next time and a weakness in my trading that I must overcame.