?????? I don't use t+s or the dom. Price action
I'm not gonna trade it as i'm done for the day, but would be tempted short cl if the demand line got broken. Shall just watch instead.
Man, I was so close to getting long the ES again, but decided to call it quits after having a good day! That would have been a beauty!
week 1 = +$643 Week 2 so far Mon (-$1645) Tues (-$700) Wed +$2265 Thur +$639 See what tomorrow brings. Amazingly, I could have...
All done for the day! Day 9 = +$639.90 (less commissions)
day so far
If you can't predict the market, you'll have losses. They can either be very small and very frequent, or less frequent, but much larger
I can no longer upload attachments in my journal. Temporary problem with ET?
I am guilty of drastically switching my ideas on risk/stops etc. Sometimes I think big stops are the way forward, as the market simply isn't...
So far today: edit: Attachments suddenly not working for me it seems.... ???????? ET issue??
Hi. Well all I can say is i'm trying my best! lol. I've reduced my size on CL to just one contract at the moment as it moves around pretty...
small trade on the ES. Price action looked bullish. slightly positive on day now, but not done yet
Current standing: week 1 = +$643 Week 2 so far Mon (-$1645) Tues (-$700) Wed +2265
2 small losers and a smallish winner so far. Break-even or so. Need a few winning days here to make it a second winning week in a row.
Made another 5.25 ES points. Called the trade live in the ESJOURNAL. Leaves me +$2265 for the day. A few good days tomorrow and the next...
And covering here at 1630.75 for +5.25
moving my stop to breakeven now.
at the moment i'm looking at the 1627 area as potential target area. Stop still at 1644
Yeah, that's what I already do. I probably should have called this thread pinkmans price action journal, but price action a part of technical...
short 1636 stop at 1644 for now
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