I see value in selling stocks and adjust the initial breakeven to the remaining quantity in the scenario that the price goes against me and once passes my cost, I sell the shares (adjusting the quantity of the initial stop loss). That way, if I lose, it will not be -1 R. Yes, it may rebound and I have less 50% of the shares but if went against me, it is not my initial trade anymore. This way I assure a better profit factor.