Last 2 weeks I got a big drawdown of 66%, the market moved in a trend and didn't have much resistance.
66% is just way to high, so to manage the risk I need to lower the risk profile.
This means that I won't increase the lotsize for a few months, the normal lotsize was 1500 balance per 0.01 lot.
Now I will use 2000 balance per 0.01. My balance is currently lower than recommended, however if necessary I will deposit more money.