This thread is a perfect example of the vaginas we have posting here. I don't know neke from anywhere but if he is posting his trades then it is super pussy of people to jump all over him like a Monday morning QB and tell him his method sucks or he loses too much money or whatever other queefy discharge oozes out of your ass cracks you mistake for an intelligent opinion. If you bukkake on a cookie eating tampons think you are a much smarter paper trader than scream "I am great" while you glaze your own knuckles in the back of your Prius. What fucks are given if you think you can do it better or he is doing it so wrong. It is not your fucking greenbacks at risk nor is your vaginal discharge of an input helping.
Why don't you tell us how you REALLY feel? Or even better, why don't you show us a post of yours in this thread when you actually contributed to the thread? Oh you haven't? Then why do you bother posting here? Neke is a big boy, he can take a little criticism without you crying about it. Man, (and I mean pussyboy) and you have the audacity to call others vaginas? Anyhow, sorry for the interruption but I hate offtopic crybabies....
You seem to be taking some sort of joy in pissing on Neke about not making money so your input is just as weak and vapid. I cannot find any posts of yours either that is truly useful to Neke or any trader except to stroke your own ego. I am sure stroking your own things is the best you can do but find someone else who thinks you pissing on Neke here is useful and I will go away. <crickets>
Period Update for July (07/02/2016 - 07/31/2016) (4 weeks) Yet another bad month, down 5K (2.8%). At one point it seemed there was a conspiracy against me. It would all be quiet on a stock. Once I got in, the market couldn't run fast enough against me. LONG - same, SHORT - same thing. Subsided a bit last one week, and pared the losses. I know it's crazy, but that's just how it felt. Code: -------------------------------------------------------------------------------- Opening Balance: 184,685 Net loss for period (5,231) ------------------------------------------------ Net Balance: 179,454 For the Thread Year 2016 (1/1/2016 - 7/31/2016) Opening Balance: 203,449 Net gain 6,005 (Up 3%) Cash Withdrawal (30,000) ------------------------------------------------ Net Balance 179,454 ---------------------- TRADES TYPE Exit Date/Time P/L OPTION 2016-07-05-15-05-15 -3885.3 STOCK 2016-07-06-13-07-44 2200.8 STOCK 2016-07-06-15-49-14 300.8 STOCK 2016-07-07-14-01-12 2074.9 OPTION 2016-07-07-12-53-40 -3465.5 STOCK 2016-07-07-09-56-33 -37.6 STOCK 2016-07-08-14-40-27 2712 OPTION 2016-07-08-14-31-28 1479.7 STOCK 2016-07-11-15-51-24 -744.4 STOCK 2016-07-11-09-31-21 45.4 STOCK 2016-07-11-15-50-52 -2313.3 STOCK 2016-07-12-15-55-14 -788.1 STOCK 2016-07-12-15-49-14 2078.5 STOCK 2016-07-12-15-49-14 -1079.1 STOCK 2016-07-14-09-35-13 -457.7 STOCK 2016-07-14-09-59-39 -1116.2 OPTION 2016-07-14-09-58-23 -4446 STOCK 2016-07-15-11-52-52 1704.4 STOCK 2016-07-15-15-49-12 793.8 STOCK 2016-07-19-10-33-52 -271 OPTION 2016-07-19-13-24-27 -1233.8 STOCK 2016-07-20-15-55-18 740 OPTION 2016-07-21-15-04-19 -191 STOCK 2016-07-20-15-55-17 -6064.4 STOCK 2016-07-21-15-55-14 471.9 OPTION 2016-07-25-00-00-01 -4530 STOCK 2016-07-22-15-29-34 -6301 STOCK 2016-07-22-11-09-22 1145 OPTION 2016-07-22-15-55-13 1637.9 STOCK 2016-07-26-11-51-40 -2807.1 OPTION 2016-07-26-10-56-15 132 OPTION 2016-07-26-15-49-18 1283.7 STOCK 2016-07-27-10-13-45 413.2 OPTION 2016-07-27-10-41-25 2392.3 OPTION 2016-07-27-11-40-00 -2021.2 OPTION 2016-07-27-14-24-55 3361.1 STOCK 2016-07-28-09-52-11 -4.9 STOCK 2016-07-28-13-49-56 1881.2 OPTION 2016-07-28-11-27-27 2632.7 OPTION 2016-07-29-10-19-44 2257.3 STOCK 2016-07-28-10-39-53 1941.9 OPTION 2016-07-29-10-04-50 -749.2 OPTION 2016-07-29-09-37-27 4034.6 OPTION 2016-07-29-10-37-03 -439.6
Come on, Neke! I wouldn't call 2,8% down "another bad month". There were times you made very bad decisions when things went against you. Seems like you stuck to your plan; so well done!
Period Update for July (07/31/2016 - 09/03/2016) (5 weeks) Fantastic month, up 106K (59%). Great month of upward cruise. Win rate was 64%, and impressive results from my options trading, as every thing I touched there almost always turned golden within a short time. One of my reworked strategies has delivered a stream of good results. It looks very promising, and I hope it keeps delivering. The initial option sizes were small (3 or 4%) in accordance with my acceleration formula - I will be looking to increase % size now as the account increases (the levels and acceleration rules have been reworked slightly from the earlier one posted). Code: -------------------------------------------------------------------------------- Opening Balance: 179,454 Net gain for period 105,663 ------------------------------------------------ Net Balance: 285,117 For the Thread Year 2016 (1/1/2016 - 09/03/2016) Opening Balance: 203,449 Net gain 111,668 (Up 55%) Cash Withdrawal (30,000) ------------------------------------------------ Net Balance 285,117 ---------------------- TRADES TYPE Exit Date/Time P/L STOCK 2016-08-01-09-32-33 -144.7 STOCK 2016-08-02-09-37-12 -262.4 STOCK 2016-08-02-15-49-13 -1159.2 OPTION 2016-08-02-15-50-01 -3027.5 STOCK 2016-08-02-15-49-13 74.4 OPTION 2016-08-02-11-25-01 1279.9 STOCK 2016-08-02-15-49-13 131.4 STOCK 2016-08-03-09-34-07 2862.8 OPTION 2016-08-03-10-13-10 -3304.7 OPTION 2016-08-03-14-19-18 -1081.6 OPTION 2016-08-04-10-29-06 -2204.8 STOCK 2016-08-04-10-12-51 3615.5 STOCK 2016-08-04-15-49-55 -4 OPTION 2016-08-04-15-11-23 -873 OPTION 2016-08-05-12-53-18 3037.3 OPTION 2016-08-09-10-00-10 2738.3 STOCK 2016-08-09-15-55-16 -133.7 STOCK 2016-08-10-11-08-51 1063.1 OPTION 2016-08-10-11-00-32 3870.3 STOCK 2016-08-10-09-57-22 98.2 STOCK 2016-08-10-10-45-08 -2164.1 STOCK 2016-08-11-14-31-03 4727.1 OPTION 2016-08-11-14-34-47 3731.6 OPTION 2016-08-12-10-42-04 2512.2 STOCK 2016-08-12-10-31-59 2129.1 STOCK 2016-08-15-12-38-59 -1374.1 OPTION 2016-08-17-15-51-50 -9202.3 STOCK 2016-08-17-09-35-02 -1625.8 OPTION 2016-08-17-15-20-50 3394.1 STOCK 2016-08-19-09-35-10 -1304.7 OPTION 2016-08-19-15-47-37 1601.8 STOCK 2016-08-22-09-50-20 2627.1 STOCK 2016-08-23-15-55-13 2772 OPTION 2016-08-24-10-32-18 5135.5 STOCK 2016-08-24-13-58-59 -24.9 STOCK 2016-08-25-10-05-44 4847.3 STOCK 2016-08-25-10-41-19 -1147 OPTION 2016-08-26-09-49-05 1945.2 OPTION 2016-08-25-11-54-23 412.3 STOCK 2016-08-26-10-16-22 1526.4 OPTION 2016-08-26-11-35-04 4370.9 STOCK 2016-08-26-15-30-27 1209.4 OPTION 2016-08-26-15-29-17 931.9 STOCK 2016-08-30-10-50-24 5730.5 OPTION 2016-08-30-10-39-12 -1997.2 OPTION 2016-08-31-11-28-13 3511.7 OPTION 2016-08-31-15-59-09 7240.6 STOCK 2016-08-31-14-27-46 5475.2 STOCK 2016-09-01-10-34-43 -1642.5 OPTION 2016-09-01-10-36-11 13522.9 OPTION 2016-09-01-10-33-31 4687.3 STOCK 2016-09-01-13-57-02 -4080.2 OPTION 2016-09-01-15-56-25 20010.7 STOCK 2016-09-02-14-44-00 4894.6 STOCK 2016-09-02-09-45-46 3615.9 OPTION 2016-09-02-09-45-53 11084.2
I'm waiting for pekelo to say how your performance represents poor risk management and lack of edge. Or wait. You made money so the Monday morning quarterbacks will be on holiday.