Taking 103K to 1.2million by Year End 2008

Discussion in 'Journals' started by neke, Jan 12, 2008.

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  1. RL8093

    RL8093

    Lots of money has been waiting for a 'successful retest' of the lows....

    R
     
    #551     Nov 13, 2008
  2. I cant believe you can make that much money and still ask questions like this.

    The selling this morning was so low volume that I took profit on my short so early I was kickin myself. Needless to say seeing the volume come in on the long side and all those suckers shorting the lows having to cover was not much of a suprise.
     
    #552     Nov 13, 2008
  3. neke

    neke

    Of course I know these things happen, just trying to add some rationality to the move. Bought 4000 SPY at 82.7 and sold at 85.2 (way too early). Did not have the gut to load up with options or stay to the close. It could have been a sweep.
     
    #553     Nov 13, 2008
  4. lol then please excuse my first post.

    fucker complaining about only making 12 grand. that's what I like to hear. lol
     
    #554     Nov 13, 2008
  5. JB3

    JB3

    Neke,

    Does you coworkers know about your trading successes? Man, I would think they would hitting you up for trading for them or at least picking up the lunch bill for the rest of the year! :D
     
    #555     Nov 14, 2008
  6. neke

    neke

    I try to keep a low profile about this at work. (After all trading in the office is still "officially" not allowed). But my close colleagues are aware I do trade. I do not disclose how much I make, but from my financial situation (pay for my parking close to office while they go with public transit to save on parking fees), made substantial down-payment when buying a house a couple years ago, etc, they are aware the work does not mean as much to me financially as it does to them. They call me a rich guy but we do not discuss details of that "richness". Hopefully none of them visit ET.

    BTW I am still building up my account. I haven't withdrawn a lot this year.
     
    #556     Nov 14, 2008
  7. Neke,
    are you in UK, Austrailia or the US?
     
    #557     Nov 14, 2008
  8. JB3

    JB3

    LOL. Nice, man.

    Can you please take a picture when you finally roll into your parking spot with your new Maseratti and put in your letter of resignation?

    Way to stay incognito. Sometimes trading is a lonely game, especially when you can't even tell your close friends how much you make.

    And you should pick up the lunch bill for your co-workers, brings good karma!

    Damn, you are my hero! LOL.
     
    #558     Nov 14, 2008
  9. neke

    neke

    11/14/2008
    Weekly Update for week 44 ended 11/14/2008

    Good week, up 56K (16.4%).

    Lost money Mon, Tue, Wednesday. Came back mightily Thurs, Fri.

    On Wednesday, lost 25K trying to call a bottom to the downtrend: Bought 400 SPY CALL (SZCKJ) @ 3.13 average, closed @ 2.53 as the market kept drifting lower.

    On Thurs, saw the market selling off again, and bought 4000 SPY @ 82.66 after it went down precipitously following a new 52-week low: the loss of the prior day was too fresh in my mind to play aggressively using options. Turned out I nailed it close to the bottom. Went for a meeting (1pm-2pm). Came back shortly before 2pm and saw it at 85.28, and closed out, thinking it was too much too fast. Watched as the market kept soaring above 88.7. Fortunately it pulled back to below 87, and I took another 4000 shares @ 86.70, which I closed later @ 89.20.

    On Friday caught the afternoon attempt at rally. Was having some SPY put (bought when SPY was at 88.60 by 10:55am). Closed it for a 5K loss, and loaded up on the call 300 contracts @ 2.93 (stock at 89.3) which I closed at 4.10 for a nice 34K gain. The prior day I regretted not holding my positions to the close. This day I was rejoicing I didn't (all the gains could have vanished!).

    Looking forward to next week.

    Code:
    
    Opening Balance:               	    	341,759
    Net gain for the week 		         56,124 
    ------------------------------------------------
    Net Balance:                   		397,883
    Number of Trades	            	 24
    Number of Profitable Trades    	    	 14
    
    Since Inception of Thread   01/13/2008 - 11/14/2008
    
    Opening Balance:                   	102,615
    Net gain (Less Margin Interest)		320,268
    ------------------------------------------------
    Balance Before Withdrawal:            	422,883  (Up 312%)
    Cash Withdrawal				-25,000
    ------------------------------------------------
    Net Balance				397,883
    
    Number of Trades	           	1044
    Number of Profitable Trades        	 619
    
    
    Top/Bottom Discretionary Trades for the week
    
    TICKER	ENTRY DATE/TIME		EXIT DATE/TIME		QTY	PURCHASE AMT	SOLD AMT	GAIN/LOSS	TYPE
    
    SWGKL	2008-11-14-14-05-55	2008-11-14-15-08-44	30000	87900		123000		34629		SPY CALL
    SPY	2008-11-14-14-32-27	2008-11-14-15-00-28	5000	447991		460000		11987		LONG
    SPY	2008-11-13-13-02-12	2008-11-13-13-47-23	4000	330640		341124		10462		LONG
    SPY	2008-11-13-15-08-21	2008-11-13-15-30-25	4000	346800		356886		10064		LONG
    -------------------------------------------------------
    SZCKJ	2008-11-12-10-43-26	2008-11-12-15-28-08	40000	125400		101420		-24611		SPY CALL
    
    								
    


    [​IMG]
     
    #559     Nov 14, 2008
  10. neke

    neke

    Not going into personal matters. Lets just say, I am in North America.
     
    #560     Nov 14, 2008
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