We are long in ES/TF/GC/EURO ... with break even stop loss.
However, I don't think it was a bad idea to take some profit in GC and EURO given their large moves at end of last FRI. There were thousands of dollars of profit even with one contract each!
However, bonds are not giving up in another push to break out ... so I think it's time to reduce the bet in the longs. Only 1 TF contract left with a new stop loss of this 4h bar's low.