OK. it's my fault because I tend to fiddle with the settings. By changing the spacing between trades I increased my risk/margin and the GBPCHF swing (in particular) had me closing trades in panic. My risk : reward ratio was because wrong coz I was banking low to get my number of lots up for the ALPARI credit bonus. Scofield's trades average 15 days whereas mine avg 1d, so there you go, but I hope I'm learning from all this. It's tricky to trust a system like this with a live account but I thought I was brave enough. I must state that Scofield gets my vote for the support he provides.
Experience trading as a manifestation of your inner zen master