2009-05-29: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,493% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,3157% SKF : L5 = 2,9328%
For the last couple of days, all of these trades have closed at the stop loss. These were also flat market days. My setup is to trade in either the long and short direction. What have other peoples experiences been? Is there a way to improve the strategy performance on such days?
Be patient...Up and down is a normal way. After you can be more selected in your trading days. But as i can't never predict market direction (flat or not, down or up) my first success is CONSISTENCY, specially when market is hard with my emotions... 2009-06-01: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,493% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,3157% SKF : L5 = 2,9328%
2009-06-02: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,3157% SKF : L5 = 2,9328%
2009-06-03: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%
2009-06-04: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%
2009-06-05: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%
2009-06-08: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%
2009-06-09: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%
2009-06-10: HCBK : L5 = 1,6393% MRVL: L5 = 2,0369% RIMM : L5 = 2,0837% JNPR : L5 = 1,6435% SCHW : L5 = 1,5808% FSLR: L5 = 2,2005% SKF : L5 = 2,9328%