Trades closed on Fri 13/Oct/06: --------------------------------- ESTX50: -6 pts, 3 RTs. DAX: no trades. SMI: +14 pts, 2 RTs. GBL: no trades. --------------------------------- [ Here is the rest I am currently holding: 100x CLUB @ 13.63 (+1.37) 1000xCTCC @ 0.085 (-0.025) 100x CVG @ 20.98 (+0.12) 400x KHD @ 5.35 (+0.25) 300x MSLV @ 3.09 (+0.09) 500x SAMC @ 1.00 (-0.02) 400x SFE @ 2.34 (+0.10) 100x SGMO @ 5.61 (-0.15) 200x SNUS @ 5.06 (+0.16) 500x SOFO @ 2.35 (+0.74) 300x SUMT @ 6.67 (+0.83) + 200 @ 7.17 (+0.33) ] *** new equity high @ $24,064 (+85.11%)
Weekly summary, week ending on Fri 13/Oct/06: --------------------------------- ESTX50: +44 pts, 19 RTs. DAX: +6.5, 2 RTs. SMI: +82 pts, 12 RTs. GBL: +44 pts, 6 RTs. --------------------------------- Account net liquidation: $24,064 Weekly return: +$3,115 +14.87% Total return: +$11,064 +85.11%
Hi all, I am just back from a short vacation. I traded a bit, but didn't have the luxury to report realtime due to limited internet connectivity. Things didn't go very well as you will see, because I wasn't able to babysit the trades, I believe... Trades since Monday: SUMT stopped out 500 @ 6.23, -$320 loss. ESTX50 -89 pts, 6 RTs. Currently: ESTX50 long 2 @ 3994 plus all the stocks (except SUMT) I reported at Friday's close. Current net liquidation: $22,435 I am in a drawdown of approx. $1,500+ since my last highs.
You have done pretty well since your start. I am sure your current drawdown will soon be history (with pruden risk mgmt.9