SMI out 1 @ 55, +3 pts. (reducing overnight risk) I need to go soon; stops are in place. I will be back after the US close for the summary.
Trades closed on Fri 20/Oct/06: --------------------------------- ESTX50: +23 pts, 1 RT. DAX: no trades. SMI: -12 pts, 3 RTs. GBL: no trades closed. --------------------------------- Sleeping overnight: ------------------- 1 ESTX50 long from 3994 (+23) 1 SMI long from 8653 (+12) 1 GBL long from 117.12 (-14) [ Here is the rest I am currently holding: 100x CLUB @ 13.63 (+3.16) 1000xCTCC @ 0.085 (-0.020) 100x CVG @ 20.98 (-0.01) 400x KHD @ 5.35 (+0.35) 300x MSLV @ 3.09 (+0.23) 500x SAMC @ 1.00 (-0.08) 400x SFE @ 2.34 (-0.05) 100x SGMO @ 5.61 (-0.29) 500x SOFO @ 2.35 (+0.82) USD.CHF long 35K @ 1.2594 (-7) ]
Weekly summary, week ending on Fri 20/Oct/06: --------------------------------- ESTX50: -66 pts, 7 RTs. DAX: no trades. SMI: -12 pts, 3 RTs. GBL: no trades closed. --------------------------------- Account net liquidation (22:38 CET): $22,748 Weekly return: -$1,316 -5.47% Total return: +$9,748 +74.98%
goodmorning GBL stopped out @ 116.90, -22 pts. Nice start of the week... I am currently around -$1200 off my last equity highs, and trying to recover.