Just completed module 2 of risk management. This was my first time trading in that way - I have been more of a buy the dip kind of guy (who has mostly fomoed at the top 🤨 and hoddle).
There is something I don't understand in regards to risking 1%. My ending balance on my journal is as it should be for 1000$ account I'm now at $950.99. However on trading view I'm at 910$. I've attached 2 screen shots that might help with my query if anyone can spot where I'm going wrong (I started modifying my account ballance as it shrank for the last couple of trades but I can't see that it made any difference). Thanks in advance.