LIVE CALLS ON S&P500 e-mini FOR 1 WEEK

Discussion in 'Journals' started by romik, Sep 22, 2006.

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  1. romik

    romik

    I'll look into that, thanks
     
    #61     Sep 26, 2006
  2. romik

    romik

    Added another 1/3 position @ 1345.

    Average short 1343.87
     
    #62     Sep 26, 2006
  3. romik

    romik

    Short still open with the average price of 1243.87

    Today just 0.50 pts gain on full position scalp.

    Up to date results:

    +5 pts per contract after 2 trades.
     
    #63     Sep 26, 2006
  4. romik

    romik

    long 1348.75, stop -2.25 points med pos size
     
    #64     Sep 27, 2006
  5. romik

    romik

    -2.25pts
     
    #65     Sep 27, 2006
  6. romik

    romik

    Due to short position in the swing account, only long trades today in the short term account.

    Another Long double up on initial position size @ 1348.50 planned.
     
    #66     Sep 27, 2006
  7. romik

    romik

    Last 1/3 added @ 1349.25

    Average short 1345.66 stop -2.5% (adjusted to overall size)
     
    #67     Sep 27, 2006
  8. Jander

    Jander

    starting to move. Still in this one?
     
    #68     Sep 27, 2006
  9. romik

    romik

    did u notice a cover post?
     
    #69     Sep 27, 2006
  10. Pekelo

    Pekelo

    I am rooting for you Romik, but here is a ponderable:

    Since you have 2 accounts (and that wasn't mentioned in the beginning), and you are allowed to have opposite positions, shouldn't the gain/loss in one account counted as half only, point-wise?

    I am not a accountant, but for a summary tally, you have to add the accounts (I assume here that they have approximatelly the same amounts in it), and divide by the summed PnL and that's how you get the real points, what you made...That's how I learnt it in the 3rd grade...

    Anyway, good luck with the last 2 days!
     
    #70     Sep 27, 2006
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