just average down and know when to cry uncle.
ive been in fine since about 6:15pm EST
Biggest up week ever... Performance for Week 29: Weekly % Return = +3.32% 2011 P/L = +32.6% Current DD = -0.00% MDD = -12.05% A...
its not bad in NT for high frequency intraday strategies, but then i've never found one of those that works consistently. I use amibroker for...
Lots of uncertainty... Performance for Week 28: Weekly % Return = +0.53% 2011 P/L = +27.5% Current DD = -0.00% MDD = -12.05%...
the dipshits run deep round here...
All is well that ends well... Performance for Week 27: Weekly % Return = +0.92% 2011 P/L = +26.7% Current DD = -0.00% MDD = -12.05%...
Hard to swallow.... Performance for Week 26: Weekly % Return = +2.14% 2011 P/L = +25.2% Current DD = -0.00% MDD = -12.05% Even...
Thanks for your question! For my weekly system, ETFs work well because I use broad-based index ETFs only (e.g. SPY, ILF, FXI, etc). The low...
I have this equities system i run, its all based on weekly closing prices. I look forward to the end of every week like you wouldn't believe in...
Thanks! You can see from the three futures trades i didn't take, i should be doing even better. Looks like its the signals that are hardest...
Like the proverbial pig in sh*t..... Performance for Week 25: Weekly % Return = +2.99% 2011 P/L = +22.0% Current DD = -0.00% MDD =...
sorry guys, let me be more clear....when executing options strategies there are a lot of various structures you can use to control risk. To use...
why would you hedge in an options strategy? the beauty of using options in the first place is that you can so easily control exactly your equity...
Sometimes its better to be lucky than good.... Performance for Week 24: Weekly % Return = +1.64% 2011 P/L = +17.7% Current DD = -0.16%...
I'm on the same route clacy is on, only a little more aggressive. My goal is to make 20%+ CAGR, with all the same intent. However, I do believe...
Worst week since my big drawdown in February... Performance for Week 23: Weekly % Return = -1.74% 2011 P/L = +15.3% Current DD =...
Ha, you are just like me. I can't hold anything more than a few months, and that feels like an absolute eternity. With that in mind, sounds...
Keeping my head above water... Performance for Week 22: Weekly % Return = -0.07% 2011 P/L = +17.85% Current DD = -0.03% MDD =...
Well, the reason I trade ETFs instead of individual issues is because the volatility in individual issues and "single-company" risk is just so...
Separate names with a comma.