Stop-Loss moved to 4769.00
Stop-Loss moved to 4773.50
Trade 2: Short 4869.50, Stop 4877.50, Profit-Take 4864.25 [1:13PM]
Looks like it will break out of the wedge formation just now to the upside.. will wait and see
Exit 4876.50 [11:32AM] P&L: -8.0
Profit-Take moved to 4868.00
Trade 1: Short 4868.50, Stop 4876.50, Profit-Take 4853.25 [10:41AM]
2016-09-22 Summary Daily P&L: -15.50 (3 trades, 2 losers, 1 break-even) Trade Summary Trade 1: Market gapped up overnight from the Fed...
Exit 4879.50 [11:18AM] P&L: +0.5
Profit-Take moved to 4879.50
Trade 3: Long 4879.00, Stop 4871.00, Profit-Take 4889.25 [10:57AM]
Exit 4877.00 [10:52AM] P&L: -8.0
Trade 2: Long 4885.00, Stop 4877.00, Profit-Take 4895.25 [10:31AM]
Exit 4882.00 [10:26AM] P&L: -8.0
Trade 1: Short 4874.00, Stop 4882.00, Profit-Take 4863.75 [10:15AM]
2016-09-21 Summary Daily P&L: +0.5 (1 trade, 1 break-even) Trade Summary Trade 1: Bad execution as I was early on short. [+0.50]
Exit 4823.50 [10:46AM] P&L: +0.5
Profit-Take moved to 4823.50
Trade 1: Short 4824.00, Stop 4832.00, Profit-Take 4813.75 [10:31AM]
2016-09-20 Summary Daily P&L: +1.25 (2 trades, 1 loser, 1 winner) Trade Summary Trade 1: Choppy day. Didn't think the market would break 4811.50...
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