let's do a calculation of this trade:
If the account is 10k, and 2% rule is 200 usd
for 53 pips risk, the total lot size is about 0.4 lot.
TP1 of 1.1355 is hit and closed 0.2 lot, win 25 pips = 50 usd
then it hit SL with the other half, 0.2 lose 53 pips = -106 usd
total p&l = -56 usd
compare with the original risk of 2% = 200 usd,
we manage to decrease our loss to only 0.56%= 56 usd
I am very comfortable with a 0.56% loss and I will just move to the next winning trade in the future.