I decided to start scanning about 300 ETFs in addition to stocks using additional entry rules. I can enter them on the current bar when a signal...
I think you need specific entry and exit criteria when averaging, as well as position sizing rules that are established before you even put on the...
Total Net Profit $2,726.21 (Per Share) $0.12 Gross Profit $6,723.43 Gross Loss ($3,997.22) Profit Factor 1.68 Total Number of Trades 373...
Markets down about 1% today, but I managed to claw a bit higher. It still feels like I am trading embarrassingly small, but I must keep my powder...
I tacked on a few cents to my NW in a flat market today, chiefly through a turnaround in SSYS. Still not getting many signals in this low...
Total Net Profit $2,242.93 (Per Share) $0.11 Gross Profit $6,239.21 Gross Loss ($3,996.29) Profit Factor 1.56 Total Number of Trades 354...
I continued lightening up on positions today as the market canât decide which way to break from the S&P 1400 magnet. The only red light/green...
Flattish day in the markets, though I managed some equity gains, chiefly thru a turnaround in MNST. I bailed on NCR after it recovered a bit from...
Total Net Profit $1,337.18 (Per Share) $0.08 Gross Profit $4,973.48 Gross Loss ($3,636.30) Profit Factor 1.37 Total Number of Trades 294...
I think many people, as well as myself, actually feel better after posting their losses anonymously on ET. It is sort of a "confessional," where...
Total Net Profit $2,019.54 (Per Share) $0.14 Gross Profit $4,274.18 Gross Loss ($2,254.64) Profit Factor 1.9 Total Number of Trades 215...
Intraday exposure rose to 69%, and then closed at 45% long exposure. I was becoming concerned today as the DOW was up 200 points midday, but my...
Going on record with my market exposure in case I am able to turn some of my positions into gains the next couple of days. I have struggled so...
Total Net Profit $316.12 (Per Share) $0.13 Gross Profit $797.24 Gross Loss ($481.13) Profit Factor 1.66 Total Number of Trades 60 Percent...
Thanks d08, it appears you and me both have staying power. I often consider âluckâ as conditioning yourself to do enough of the ârightâ...
That is interesting. I can produce phenomenal equity curves by choosing a time frame that does not include any large drawdowns.
Just a quick midweek update here. Current exposure is 35%. I will start expressing draw down using $100,000 as my HWM. I plan to withdraw money...
Closed SPY short for $62 loss.
Add 100 at 137.38. Average cost, 136.73. Will add 100 at 137.77.
Short 200 shares SPY, average price 136.41. Hoping it goes against me so I can add more. . I predict the overnight futures will drop on low...
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