CHIR short 200 at 54, stop 55.3, target 51.85. DG short 500 at 20.9, stop 21.35, target EOD. ESRX short 200 at 60.5, stop 61.8, target EOD. FD short 250 at 43.25, stop 43.9, target 41.85. FITB short 200 at 57.4, stop 57.8, target 56. GE short 400 at 31.2, stop 31.8, target 30. GILD short 200 at 56.7, stop 58.2, target EOD. HAL short 400 at 25.5, stop 26, target EOD. LEN short 150 at 76.5, stop 77.4, target EOD. MDT short 250 at 47.8, stop 48.4, target 46.6. NE buy 300 at 33.7, stop 33.1, target EOD. NSC short 500 at 19.15, stop 19.4, target 18.1. TJX short 500 at 20.3, stop 20.6, target 18.9. YUM short 400 at 30.6, stop 31, target 29.3. UIS short 700 at 14.05, stop 14.25, target 13.6.
LEN shorted 150 at 76.5, stopout 77.4, -$165 MDT shorted 250 at 47.8, out at close 47.4, +$70 PDE bought 700 16.8, stop 16.35, out at close 17 +$110 UIS shorted 700 at 14.05, stop 14.25, targetout 13.6 +$285 DG shorted 500 at 20.9, stop 21.35, now 20.73 (+$85) ESRX shorted 200 at 60.5, stop 61.3, target 57.5, now 59.5 (+$200) GE shorted 400 at 31.2, stop 31.8, target 30, now 30.4 (+$320) GILD shorted 200 at 56.7, stop 58.2, target 54, now 55.75 (+$190) NSC shorted 500 at 19.15, stop 19.4, target 18.1, now 18.75 (+$200) ADSX bought 4000 at 0.46, stop 0.41, target 0.54, now 0.44,(-$80) RMKR bought 1600 at 1.13, stop 1.08, target 1.45 now at 1.26 (+$190) Total Realized Paper P/L: +$680. Total UnRealized Paper P/L: (+$1100).
ACE short 300 at 33.2, stop 33.6, target 30.5 AMGN short 200 at 65.7, stop 66.6, target EOD. BA short 300 at 34.3, stop 34.7, target 33. CHK short 1000 at 10.6, stop 11, target 10. DG short 500 at 20.9, stop 21.2, target 20. DLTR short 300 at 35.6, stop 36.5, target 34. FD short 250 at 42.8, stop 43.2, target 41.85. PHM short 200 if moves/gaps below 66.75, stop 68.5, target 63.5. STT short 250 at 45.7, stop 46.4, target 43.3. TJX short 500 at 19.6, stop 20.3, target 18.8. YUM short 400 at 30, stop 30.5, target 29.25. UIS short 700 at 13.75, stop 14.2, target 12.75. WM short 300 at 38.75, stop 39.35, target 37.
For the record, I will close every short position of my paper trade at the market close. Seems to be another day.
DG shorted 500 at 20.9, out at close 20.32 +$270 ESRX shorted 200 at 60.5, out at close 59 +$270 GE shorted 400 at 31.2, stop 31.8, targetout 30 +$450 GILD shorted 200 at 56.7, out at close 55.4 +$230 NSC shorted 500 at 19.15, out at close 18.43 +$320 AMGN shorted 200 at 65.7, out at close 65.15 +$80 BA shorted 300 at 34.3, out at close 34 +$60 FD shorted 250 at 42.8, targetout 41.85. +$200 PHM short 200ed at 66.75, out at close 66.35 +$50 WM shorted 300 at 38.75, out at close 38.93 -$90 ADSX bought 4000 at 0.46, stop 0.41, target 0.54, now 0.43,(-$120) RMKR bought 1600 at 1.13, stop 1.08, target 1.45 now at 1.18 (+$80) Total Realized Paper P/L: +$2520. Total UnRealized Paper P/L: (-$40).
ACE short 300 at 32.8, stop 33.2, target EOD. AMGN short 200 at 65.65, stop 66.5, target EOD. DG short 500 at 20.6, stop 21, target 20. DLTR short 300 at 34.8, stop 35.2, target 33. ESRX short 200 > 58 if moves/gaps below 58.85, stop 61.5, target EOD. FD short 250 at 42.75, stop 43, target 41.85.
FITB short 200 at 57.6, stop 58.2, target 56.4. GE short 30.45, stop 30.7, target EOD. GILD short 200 at 57, stop 57.5, target 53.5. IACI short 300 at 35.1, stop 35.4, target EOD. LEN short 150 if moves below 75.25, stop 77.6, target 72. PHM short 200 at 66.7, stop 67.7, target 63.6. STT buy 300 if moves/gaps above 45.5, stop 44.5, target EOD. UIS short 700 at 13.6, stop 13.9, target EOD. UTX short 200 if moves/gaps below 77.3, stop 78.5, target 72.5. WB buy 250 if gaps/moves above 42, stop 41, target EOD.
This is such a tough game which often makes me feel bad. Today I closed a $6000 position with $1500 gain in 5 days, not bad, huh ? but left at least $1000 on the table. I kept telling myself - ride it, ride it, ride it, look at the explosive volume, you got to be able ride it even till tommrow. But just could not resist it. In the mean time, I closed a couple of losing positions when it went down even more today, which I knew all along I should have closed it, yet just wating to get hit at the ask and you know the ask price kept going down. At least I did manage to ride the gain 3 stair-steps up, and managed to close the losing ones after only 2 stairs-steps down.
ACE shorted 300 at 32.9, stopout 33.2 -$120 GE shorted 300 at 30.45, stop 30.7, out at close 30.37 -$0 PHM shorted 200 at 66.7, out at close 67.38, -$170 UIS shorted 700 at 13.6, out at close 13.65, -$70 ADSX bought 4000 at 0.46, stopout 0.41 -$230 RMKR bought 1600 at 1.13, out at close 1.1 -$80 Total Realized Paper P/L: +$1850. The two postions of penny stock used to have +$300 gain instead -$300 loss now, got to work harder even it is just paper trading !
DG short 500 at 20.35, stop 20.65, target EOD. IACI short 300 at 35.2, stop 35.7, target EOD. KR short 600 at 18.15, stop 18.45, target 17.1. LEN short 200 at 76.85, stop 78, target EOD. STT buy 250 if moves/gaps above 45.55, stop 44.6, target EOD. TGT short 300 at 38.15, stop 38.7, target 37. TJX short 600 at 18.9, stop 19.2, target 17.8. YUM short 400 at 29.15 if moves/gaps below 29.15, stop 29.75, target 28.45. NSC buy 600 under 18.6 if moves/gaps above 18.55, stop 18.25, target EOD 18.95. CHIR buy 200 if moves/gaps above 53.1, stop 51.8, target 55. UIS buy 800 at 13.6, stop 13.3, target 14.1. UTX buy 150 at 78.6, stop 78, target 80.5. AEP buy 400 at 29.65, stop 29.2, target 31. DF buy 400 at 30.6, stop 30.2, target EOD. DQE buy 700 at 15.55, stop 15.3, target EOD. EIX buy 500 at 19.20, stop 18.85, target EOD. KMI buy 200 at 54, stop 53.2, target 56.5.