I love this place with so many traders, so I decide to gather my courage to post my own trading plans and executions and results. I have a demanding job, so the way I am trading is neither swing nor daytrade, and many times I had to pass due to workload. Thus what I post will be a mixed result of paper trading and actual trading. Nevertheless, they will serve a good purpose for me. I enjoy communicating with fellow traders, and good luck to everybody and to myself..
WYE open/move > 43.1: buy 100 at open, buy another 100 at 42.4, stop-loss at 42.1, target 43.85 open between (42.3, 42): short 300 at 42.25, stop-loss 43.15, target 41.45. open between (42, 41.3): short 300 at 41.95, stop-loss 42.65, target 41.45. DOX open < 20.9: Short 500 at 20.9, target 20.2, stop-loss 21.3. ESV open < 28.3: short 400 at 27.6, stop-loss 28.3, target 26.25 HMY buy 600 at 12.9, buy 2nd 600 at 12.3, stop-loss 11.75. target close or next day. MNST short 200 at gap down, short 400 at opens up, stop-loss 27.2, target 25. GILD open/move < 63.5, short 200, target 61.5.
8/25 Only paper trades - WYE short 300 at 41.95 stop-loss at 42.65. (Downtrend Channel Setup) MNST short 400 at 26, out at 27.2 (ouch). -500 paper P/L -500 real P/L -0
ORCL buy 900 at open if open within (11.85, 12.55) F watch for a long breakout RIG buy 500 at open if open within (20, 20.55) AIG short 60.45 ABX buy 300 at open if below 19.15, 2nd 300 at 19.85, stop-loss 17.88 ABT buy 150 at if open below 40, stop-loss 38.3, 2nd 150 at 40.15. FNM buy 100 at open, 2nd 100 at 62, stop-loss 59.8. JNJ buy 200 if move/gap above 50.1 SGP buy 700 at open, stop-loss 14.4. TGT buy 300 at 37.5, stop-loss 37.
I don't know the detail about the disclosure rule, have seen people in the thestreet.com doing it all the time, but did not see anyone doing this here. So just to put something here - please do not "trade or not trade" because I post my plan here. I do not have position on any of the stocks mentioned so far.
Actual Trade - ORCL buy 900 at 12.19 SGP buy 700 at 15.09 ================= Paper Trade - ABX buy 500 at 20.33 ABX buy 300 at 18.99 FNM buy 100 at 63.35 ABT buy 150 at 39.57 Existing Paper Postion Short 300 WYE at 41.95 ================= Actual P/L -0 Paper P/L -500
Correct some typo and complete the would-be journal. In real money trading, I analyze the trade before end of day, in paper ones I delay it untill I have time assuming I could have closed at the closing print at 4:00 PM. ================= Paper Trade - RIG buy 500 at 20.33 (+$35), keep, stop-loss to 19.86. ABX buy 300 at 18.99 (+$132), keep, stop-loss 18.7. FNM buy 100 at 63.35 (-$23), keep, stop-loss 62.1. ABT buy 150 at 39.57 (+$57), keep, stop-loss 38.3. Existing Paper Postion Short 300 WYE at 41.95 (-$125), keep, stop-loss 42.76. Paper P/L: -$500.
So many breakout candidates ! They may all fail. No position on any of these as of this moment. AMGN - if gap/move above 66.2, long 200, stop-loss 64.35, target 67.85. AIG - buy 100 at 60, buy 2nd 100 at 59.2, stop-loss 58.65, target 62.65. BEGN - buy 300 on a gap/move over 39.1. stop-loss 36.88. BJS - buy 300 on a small gap/move over 36.35, stop-loss 34.88, target 37.35. F - buy 900 at 11.2, stop-loss 10.88, target 12. BMY - short 400 at 25.8, stop-loss 26.45, target - total breakdown. BRCM - short 200 at price > 24.5, stop-loss 26.1, target 23.2. CD - if gap/move over 17.6, buy 600, stop-loss 17.1, target EOD. C - buy 300 at 43.2, stop-loss 42.3, target EOD. IDPH - if gap/move over 34.3, buy 300, stop-loss 31.65, target EOD. LLY - buy 100 at open, 2nd 100 at 63, 3rd 100 at 61, stop-loss 60.5, target EOD. KRB - if gap/move over 23, buy 500, stop-loss 22.25, target 23.9. MOT - buy 1000 at 10.4, stop-loss 9.7, target 12.1. NOK - buy 700 < 16, stop-loss 14.88, target EOD. QCOM - buy 250 if < 40, stop-loss 37.88, target EOD. Observe BA likely morphs into a breakout candidate in a few days. ABT a breakout ?
Paper Trades: (from 8/25) Short 300 WYE at 41.95, stopped-out at 42.76 (-$260) (from 8/26) RIG - bought 500 at 20.33, out at target 20.73. (+$180) ABX - bought 300 at 18.99, out at target 19.8 (+$220) FNM - bought 100 at 63.35, out at close 62.89 (-$65) ABT - bought 150 at 39.57 - keep (+$20) (from 8/27) AIG - buy 100 at 60, buy 2nd 100 at 59.2, stop-loss 58.65, target 62.65. (-$55) keep BJS - buy 300 on a small gap/move over 36.35, stop-loss 34.88, target 37.35. (-$10) keep BRCM - shorted 200 at 25.2, stop-out at 26.1 (-$200) C - buy 300 at 43.2, stop-loss 42.3, target EOD. (-$70) keep LLY - buy 100 at open, 2nd 100 at 63, 3rd 100 at 61, stop-loss 60.5, target EOD. (+$90) keep KRB - if gap/move over 23, buy 500, stop-loss 22.25, target 23.9. ($0) keep MOT - buy 1000 at 10.4, stop-loss 9.7, target 12.1. (+$400) keep NOK - buy 700 < 16, stop-loss 14.88, target EOD. (+$300) keep QCOM - buy 250 if < 40, stop-loss 37.88, target EOD. (+$375) keep Total Realized Paper P/L (-$425) Total Unrealized Paper P/L (+$830)