Clearly should not have moved my stop-loss just now.. :confused:
Exit 4810.50 [9:44AM] P&L: +0.5
Stop-Loss moved to 4810.50
Trade 1: Short 4811.00, Stop 4819.00, Profit-Take 4795.75 [9:40AM]
2016-09-15 Summary Daily P&L: -3.75 (2 trades, 1 loser, 1 winner) Trade Summary Trade 1: A little early with my order entry on this one! With...
Waiting for breakout on either side
Exit 4799.25 [1:07PM] P&L: +4.25
Stop-Loss moved to 4799.25
Looks range bound.. will keep same profit-take
Stop-Loss moved to 4795.50
Trade 2: Long 4795.00, Stop 4787.00, Profit-Take 4805.25 [12:55PM]
Exit 4796.75 [12:37PM] P&L: -8.0
Trade 1: Long 4804.75, Stop 4996.75, Profit-Take 4815.00 [12:24PM]
Ohh.. ok ok that makes sense! Using the 200 MA as a mean reverting trend line! Thanks! First time using the 200 MA. What about today? The 50 MA...
2016-09-14 Summary Daily P&L: -17.75 (3 trades, 3 losers) Trade Summary Trade 1: Market broke above the 200MA on the 30 mins chart, which was a...
Hit my maximum losses for the day.. will most likely just be watching and reviewing past trades to improve for the rest of the day.
Exit 4761.50 [12:39PM] P&L: -8.25
Trade 3: Long 4767.75, Stop 4761.75.00, Profit-Take 4778.00 [12:20PM]
Exit 4767.50 [12:20PM] P&L: -1.50
Trade 2: Short 4766.00, Stop 4767.75.00, Profit-Take 4755.75 [12:17PM]
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