Entry/play: New day high later morning
Management: Today's expiration, so it needs to do my thing right away bc time decay. Initial stop was high and it stopped pretty quickly. Note 2c spread on 20c option, plus paid up for breakout... so I ate almost 50%. That's a CLEAR reason to take small size on Friday/today expiration.
Psychology: Good. Disappointed, but even despite ugly looking % loss it was not a big $ loss. That's how you do it! Risk management.