An honest assessment of my performance....started with SGD 3k flat to play during CNY. As of point of typing, my NAV is 3,350+/-, with realized P&L of 1,021.
It think no stop loss/straddle is an okay strategy. But I have not really experience an extreme event so far that cause more than 500 pips swing. I did experience 200+ pip swings in EUR/SGD and that is really not a pleasant feeling. And this is the problem with no stop loss/straddle I feel, i.e. you take profit at a certain level hoping the price to make a return trip. But alas, it keep on moving further and further away.
I think no stop-loss is working great right now due to the volatility, but if there are no volatility, then building position might be better. No right or wrong here.