Not a problem... I think you have your priorities right. :)
James, Ever get that US trading calendar going? Markets here are closed today. :) Of course, the futures market is open its normal weird...
http://www.nytimes.com/2009/02/13/business/economy/13insolvent.html?hp Not a real surprise, but still scary.
From the Telegraph (UK): European bank bail-out could push EU into crisis A bail-out of the toxic assets held by European banks' could...
Nice trade, congrats! The system performance over the last 7 trades or so seems much better than previous. Did any system design parameters...
I've finally got a little time to spend on this subject, having just finished resolving a very annoying computer problem that was driving me...
OK, we finally got a signal at today's close, which I just executed by covering the short at 904.75. That resulted in a loss of 38.25 points, or...
Hi guys, I'm still here. I've been busy, and there haven't been any new signals, so nothing much to report. Today's market is moving in the...
No new signals, and you're right that we've definitely given up some profits. However, that's pretty much the nature of EOD swing trading. I...
Hope everyone had a nice Xmas, I did. The model went SHORT at the close on Xmas eve (Weds), so I sold this morning at the open, with an execution...
As the results of the system Iâm trading here have varied over time, I want to introduce a measure of system quality that will allow me to...
It was pointed out to me that I made a minor math mistake in my 11/18 post. When I accounted for the -$254 loss on that date, I got the closed...
Thanks. This system is an end-of-day system, so it only takes inputs once a day. Of course, the Profit software doesn't care about that, and you...
The model went LONG at the close today, so I covered at 891.25, for a gain of +$1,087.50 per contract. So our status is as follows: Open...
Interesting quote from Madoff in that video that was posted: "Iâm very close with the regulators so Iâm not trying to say that what they...
The model went SHORT at the close today, so I sold at 913.00, for a nice gain of +$1,962.50 per contract. So our status is as follows: Open...
No, as I posted early on, I was seeing more like 10 points per trade. But wasn't sure how long that would last, since it had been doing it for a...
The model went LONG at the close today, so I covered the short at 873.75, for a gain of +$362.50. So our status is as follows: Open...
Got a SHORT signal after the close on Friday, so I executed it at tonight's open, and sold at 881.00. That resulted in a loss of 9.5 points, or...
Got a LONG signal after the close today, so I covered at 890.50, for a loss of 19.5 points, or -$975 per contract. So our status is as follows:...
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