Taking 410K to 4million by Year End 2010

Discussion in 'Journals' started by neke, Jan 10, 2010.

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  1. Did you find it was more ethical to pump and dump all of the stocks you have mentioned if you tell us up front that that's what you're doing?

    GD
     
    #531     Apr 6, 2010
  2. no! :mad:
     
    #532     Apr 6, 2010
  3. traderrn

    traderrn

    Neke, do you have a max risk per trade limit?
     
    #533     Apr 8, 2010
  4. Dude.
    RTFM!
     
    #534     Apr 8, 2010
  5. neke

    neke

    Weekly Update for week 13/50 ended 04/10/2010

    Moderately positive week, up 5K (2.0%).

    The week began horribly on Monday. Held only a bunch of shorts in my account, and lost 11K for the day with the market rally. The biggest one was CREE. Faded 3000 @ 76.21, another 2000 @ 77.2, had to take a loss @ 77.60 near the close of the market as the end-of-day squeeze kept the stock rising - bigger size than my current risk level dictates.

    Recovered nicely the rest of the week, and added some 5K.


    Code:
    
    Opening Balance:                	254,512
    Net gain for the week 		      	  5,008
    ------------------------------------------------
    Net Balance:                   		259,520
    
    Number of Trades	            	 25
    Number of Profitable Trades    	    	 17
    
    
    Since Inception of Thread   01/10/2010 - 04/03/2010
    
    Opening Balance:                   	410,000
    Net loss(Less Margin Interest)		150,480 (Down 37%)
    ------------------------------------------------
    Net Balance				259,520
    
    Number of Trades	           	471
    Number of Profitable Trades        	229
    
    
    SPYAPR172010116.0CALL	2010-04-08-09-33-51	2010-04-08-11-56-05	10000	22500	26500	3856	SPY CALL
    CREE			2010-04-05-09-52-27	2010-04-05-15-55-29	5000	387997	383170	-4862	SHORT
    								
    
     
    #535     Apr 9, 2010
  6. another nice week.
     
    #536     Apr 10, 2010
  7. xopie

    xopie Guest

    Hi neke:

    Good work this week. But why short CREE. 15 months in an uptrend. The last 6 being very strong. Gapper looks like strength. Why not catch a weak stock on a rally in a strong downtrend.
     
    #537     Apr 11, 2010
  8. neke

    neke

    Weekly Update for week 14/50 ended 04/17/2010

    Mournful week, down 37K (14%).

    Just when I thought I've started getting it together managing the risk. On Wednesday, got stopped out of ISRG on my ISRG shorts when the 6K loss limit was violated (such was the relentless uptrend). Took on too much size. Then got a double-whammy on Thursday from the same ISRG after earnings. Bought just after the earnings in after-hours, 1000 @ 397, and added another 500 GOOG @ 580, thinking the negative reaction was unwarranted, all just before leaving the office. Ignored all the flashing red light that the size was too much as the stocks were yet to settle. Drove off from the office, and by the time I got home and checked, as feared both positions were firmly against me. Closed ISRG @ 373, losing 24K, and GOOG @ 566, losing 7K. (Because this was after hours, my position monitor was powerless as the market order to close the positions would not have executed until the following day). I have tried to avoid doing anything with my automation to execute limit orders after hours (whether entry or closing) due to fear of wrong quotes and illiquidity; but with this I will have to extend my monitoring to include orders entered after hours, exiting at a limit if loss limit is exceeded.

    Back to reduced size, and days of sorrowing.


    Code:
    
    Opening Balance:                	259,520
    Net loss for the week 		      	 36,826
    ------------------------------------------------
    Net Balance:                   		222,682
    
    Number of Trades	            	 24
    Number of Profitable Trades    	    	 11
    
    
    Since Inception of Thread   01/10/2010 - 04/17/2010
    
    Opening Balance:                   	410,000
    Net loss(Less Margin Interest)		187,318 (Down 46%)
    ------------------------------------------------
    Net Balance				222,682
    
    Number of Trades	           	495
    Number of Profitable Trades        	240
    
    
    ISRG	2010-04-14-09-53-31	2010-04-14-10-48-46	1500	571500	565083	-6455	SHORT
    GOOG	2010-04-15-16-05-56	2010-04-15-17-49-17	500	290353	283302	-7070	LONG
    ISRG	2010-04-15-16-13-38	2010-04-15-17-49-52	1000	397954	373825	-24149	LONG
    								
    
     
    #538     Apr 16, 2010
  9. Bad luck buddy..
    darn.

    so you are saying you first shorted ISRG.. then suddenly decided to go long.. in after hours.?? then (another cardinal sin) left the position and drove home. with no stops in place.. and then finally closed it .

    I was short both ISRG and GOOG and was sweating.. but both of mine were OTM positions.. naked calls OTM. 420 strike for ISRG and 650 strike for GOOG.

    for my ISRG, I got a margin call in After hours. .for my options as it had spiked to 409. but if u observe the chart ,it was brief

    ISRG.- was fully cooked, I think the short strategy would have played out( its easy to say in hind sight) but the pressure was too much... next time If I see such a setup, i will be long rather short and sweating away..

    ISRG once ruined me when it jumped from 160 to 225 after results. but since then always its OTM premiums have increased and I choose strikes as far away as possible. but it is another PORTFOLIO Killer.
     
    #539     Apr 16, 2010
  10. How so, could you explain?

    While you were up the previous week, you took on CREE as 150% of your portfolio.
     
    #540     Apr 16, 2010
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