The evening high was 2038, just about a point away from the first target, and during the subsequent pullback around 1997, I chose to add positions. Of course, the entry point for adding positions wasn't very good, but I raised my stop-loss from the original 1920 to 1940, which can be considered a personal alignment of knowing and doing, avoiding a series of reactive operations after a significant drawdown.
The principal remains 300u, and there have been no deposits or withdrawals in the contract these past few days.
I firmly see the take-profit at 2200 and the stop-loss at 1940. I will not update again until one of these occurs.
Feel free to follow and subscribe to the real account for the first information reference.