Only good thing about today is the fact that this is a paper trade journal.. :confused:
Exit 4812.00 [2:39PM] P&L:-2.50
Stop-Loss moved to 4812.00
Trade 3: Long 4814.50, Stop 4806.50, Profit-Take 4824.75 [1:09PM]
Exit 4820.00 [12:17PM] P&L:-10.00
Trade 2: Short 4810.00, Stop 4820.00, Profit-Take 4799.75 [11:33AM]
Exit 4811.25 [11:33AM] P&L:-8.75
Stop-Loss moved to 4811.00
Profit-Take moved to 4825.25
Profit-Take moved to 4820.50
Trade 1: Long 4820.00, Stop 4812.00, Profit-Take 4830.25 [11:22AM]
2016-09-23 Summary Daily P&L: +1.50 (3 trades, 1 loser, 2 winners) Trade Summary Trade 1: Thought the market would continue to trend downwards....
Nice call. I get nervous playing reversals after such strong moves!
Got greedy on the last trade.. should have kept original profit-take :confused:
Exit 4856.75 [2:03PM] P&L:+4.25
Profit-Take moved to 4839.75 Stop-Loss moved to 4856.75
Profit-Take moved to 4845.75
Stop-Loss moved to 4760.50
Trade 3: Short 4861.00, Stop 48768.00, Profit-Take 4849.75 [1:50PM]
Exit 4864.25 [1:47PM] P&L:+5.25
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