Exit 4717.00 [11:01AM] P&L: -8.0
Trade: Short 4709.00, Stop 4717.00, Profit-Take 4698.75 [10:57AM]
Lol I'd have to build the castle first in this case! :rolleyes:
Thank you. I do have a detailed list that outlines certain rules that I try to adhere to on a daily basis, however the purpose of this journal is...
I take trades as I see fit when the charts indicate (technical analysis). I elaborate at the end of day on my trade summary. Care to elaborate...
2016-09-09 Summary Daily P&L: -2.75 (2 trades, 1 loser, 1 winner) Unfortunately I need to call it quits early due to a work conference shortly....
Exit 4741.75 [11:38AM] P&L: +5.25
Trade: Short 4747.00, Stop 4755.00, Profit-Take 4741.75 [Entry @ 11:18AM]
Order entry: Short 4747.00, Stop 4755.00, Profit-Take 4741.75
Currently range bound between 4753.50 and 4745.25.. will wait for it to break out
Order entry removed
Order entry: Short 4754.00, Stop 4762.00, Profit-Take 4743.75
I will provide a summary at the end of day to go through each trade in detail.. not realistic as the market is live
Exit 4770.00 [10:27AM] P&L: -8.0
Profit-Take moved to 4761.50
Trade: Short 4762.00, Stop 4770.00, Profit-Take 4751.75 [Entry @ 10:12AM]
Order entry: Short 4762.00, Stop 4770.00, Profit-Take 4751.75
Simply using this as a journal to document my paper trades and to hold myself accountable. I regularly post in the Trader P&L 2015 section,...
Net: -242 That's it for me! Back to the drawing board and paper trading.. All the best everyone! 3 trades, 2 losers, 1 break-even.
Thought the range would have been a lot tighter today.. surprised by the volatility on both sides!
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