2016-09-26 Summary Daily P&L: -21.25 (3 trades, 3 losers) Trade Summary Trade 1: Didn't recognize the range had shifted downwards. [-8.75] Trade 2: Had stop-limit order in anticipation for a breakout. [-10.00] Trade 3: Looked like a wedge was forming, only to break lower. [-2.50] Not a good day at all. These types of days where the market mean reverts and stays relatively flat are the worst for my trading system.