gotta_trade's swing trades

Discussion in 'Journals' started by gotta_trade, May 31, 2003.

  1. EOD: Thursday, July 31, 2003




    TODAY'S TRADES:

    (now trades)




    OPEN POSITIONS:

    6/10/03......B......50 MTX @ 48.00........+ 1.95
    7/18/03......B......200 MRD @ 27.10.......+ 1.61
    7/25/03......B......200 NYB @ 30.50.........- .60





    Unrealized P&L................................. + $297.00

    Realized P&L...(as of 6/1/03)...............+ $3,027.00


    TOTAL P&L REALIZED AND UNREALIZED........(as of 6/1/03).............+ $3,324.00
     
    #121     Aug 1, 2003
  2. richk

    richk

    Hi gotta_trade,

    I have one more question. What is your limit for max. open positions , limit for max. setups for a day or have you such limits ?
     
    #122     Aug 1, 2003
  3. EOD: Friday, August 1, 2003




    TODAY'S TRADES:

    Sold 50 MTX 49.50 (Last scale out for a profit of $1.50 per share)

    Sold 100 MRD 28.50 (Scaled out of 100 shares for a profit of $1.40 per share)




    OPEN POSITIONS:

    7/18/03......B......100 MRD @ 27.10.......+ 1.35
    7/25/03......B......200 NYB @ 30.50........- 1.63





    Unrealized P&L................................. - $191.00

    Realized P&L...(as of 6/1/03)...............+ $3,242.00


    TOTAL P&L REALIZED AND UNREALIZED........(as of 6/1/03).............+ $3,051.00
     
    #123     Aug 1, 2003
  4. Closed the MTX position today.
     
    #124     Aug 1, 2003

  5. Hello richk,

    I don't have a maximum limit on the number of positions that I will hold at one time.

    I just want to pick the best of the best trades, and if they trigger, I'll take the position.

    But I also don't want to put myself in a dangerous position, so I'll use some judgement on the number of open positions that I'll have at one time.

    Good trading,
    gotta_trade
     
    #125     Aug 1, 2003
  6. have u thought about increasing ur size??
     
    #126     Aug 1, 2003
  7. howardy2k,

    I copied and pasted some of my prior posts regarding your question:


    --------------------------------------------------------------------------------------------------------

    Yes, I have thought about it. But first I need to see if this method will hold it's own. So, for now, I'll play small size. If this method proves to be profitable, I won't hesitate to increase my position size.

    I feel that it would be foolish for me to beef up my swingtrade position size at this stage. (I've only been swing trading for 2 months) If I was playing big size, fear and greed would get in the way, and I would surely lose.


    My size is small while I experiment with this strategy. If this strategy proves to be profitable, I will SLOWLY increase the size of my trades. I won't even consider increasing the size unless I'm up at least $5,000.


    My position size is basically:

    500 shares for $10.00-$20.00 priced stocks
    400 shares for $20.00-$30.00 priced stocks
    300 shares for $30.00-$40.00 priced stocks
    200 shares for $40.00-$50.00 priced stocks
    100 shares for $50.00 and up priced stocks

    My worst case scenario stop-loss is around $500 per trade.


    If my P&L should increase above $5,000., I'll slowly increase my position size. I'll add 100 shares to my opening positions. Then if my P&L should increase to $7,500, I'll add another 100 shares, etc., etc.

    I ask myself, "how would I feel if each and every open position was stopped out with the maximum loss?"...then I answer, "well, I'm okay with that." If I was trading larger size, I wouldn't be.


    Good trading,
    gotta_trade
     
    #127     Aug 1, 2003
  8. Merc

    Merc

    What scanning platform are you using?

    What combination of charting and quote feed platforms are you using for your swing trades?

    Thanks.
     
    #128     Aug 4, 2003
  9. EOD: Monday, August 4, 2003




    TODAY'S TRADES:

    Sold 200 NYB 28.39 (closed position for a loss of 2.11 per share)





    OPEN POSITIONS:


    7/18/03......B......200 MRD @ 27.10.......+ 1.41





    Unrealized P&L................................. + $141.00

    Realized P&L...(as of 6/1/03)...............+ $2,820.00


    TOTAL P&L REALIZED AND UNREALIZED........(as of 6/1/03).............+ $2,961.00
     
    #129     Aug 4, 2003
  10. I closed the NYB position.
     
    #130     Aug 4, 2003