Looks like I am not it. I do paper day trade QQQ, SPY, etc. ES's & NQ's PA should be very similar if not the same?
Yes, that is why my "main job" is trading options, leverage but no margin call. It is not free, I pre-paid for both.
Done for today. Market wasn't crazy and me neither. Could have made more if I didn't cut the 2nd winner short. 2 trades 1x5 and 1x3 400$ gross. Tomorrow is another day.
That's the roadmap. Let's see. Max contract is 5 therefore if the roadmap holds true, Then I plan to move the 20k - 1000$ profit cut to my AMP account. Or maybe buy 5x150k TST accounts.
The time to get out of a position is not when the market is proving your position to be a correct one. You have the opportunity to be wrong as often as correct, but when you are already proven correct, this is certainly the time to step off of first base. - Phantom of the Pits