Thanks for the post! It's very insightful to see the rational behind your decision not to sell today. Looks like it was a good call! Do you...
2016-10-04 Summary Daily P&L: -16.00 (2 trades, 2 losers) Trade Summary Trade 1: Saw that the market was range bound and attempted to play the...
I typically only have CNBC running in the background.. aside from that I don't pay too much attention to the market news. However, I do pay...
Exit 4842.00 [2:55PM] P&L:-8.0
4856 will be the test IMO
Trade 2: Long 4850.00, Stop 4842.00, Profit-Take 4860.25 [1:50PM]
Exit 4853.50 [1:09PM] P&L:-8.0
Trade 1: Long 4861.50, Stop 4853.50, Profit-Take 4869.75 [12:52PM]
2016-10-03 Summary Daily P&L: +0.50 (1 trade, 1 break-even) Trade Summary Trade 1: Too early on the short.. chased entry as the market looked...
Exit 4846.00 [1:19PM] P&L:+0.5
Too early once again.. good short level here
Trade 1: Short 4846.50, Stop 4854.50, Profit-Take 4836.25 [11:50AM]
2016-09-30 Summary No trades. When the market failed to break below the support line of 4869 on the pull back, it was a good sign for the market...
2016-09-29 Summary Daily P&L: +5.25 (1 trade, 1 winner) Trade Summary Trade 1: A lot of strength to the sell side today, so waited for the...
Poor execution on the recent trade.. had I entered closer on the short side to 4840 I could've been in a better position to hold the trade and...
Exit 4827.25 [1:49PM] P&L:+5.25
Stop-Loss moved to 4842.50
Trade 1: Short 4832.50, Stop 4840.50, Profit-Take 4822.25 [1:14PM]
Tried to get in around the low 30s when it was evident there was still some strength to the sell off
Wow.. kept missing entry on the short side..
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