Trader P/L 2005

Discussion in 'Journals' started by Diamondtrim, Jun 6, 2005.

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  1. Back after another very long weekend, better start this time around.
     
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    #1831     Oct 24, 2005
  2. Really bad day shockingly finished up. Made no money at almost everything all day, but was saved by some gimmick trading at the bell.... whew.
     
    #1832     Oct 24, 2005
  3. + 1282.40 Lots of trades today. Long and short.
    Waiting for another big $$$ up day like last Wed.

    How were opening orders today? My trades to fade the(close to open) gap did not close as quickly as expected...
    Just curious.
     
    #1833     Oct 24, 2005
  4. Pretty good day. Had a good win loss ratio today. NVAX and TASR moves were pretty predictable.
     
    #1834     Oct 24, 2005
  5. swcom

    swcom

    Pre-market oil action and some AM flux on the indices today . . .
    hit daily trade/profit targets, leaving me at +2025, and done.
     
    #1835     Oct 25, 2005
  6. slippage on the SPI & ES, left an insane amount on the EURO table, switched from ESTX50 to the FTSE100 because ESTX50 limps around like a interest rate contract. hestitated and missed a good trade in the ER2. frustrating day. switched to unbundled pricing today.


    -$82.90
     
    #1836     Oct 25, 2005
  7. mercurial, openings were down yesterday as i had lots of shorts that were immediately down and i was unable to trade out of them profitably. overall accross all accounts i finished -600 yesterday, because of the bad opening.
    patrick
     
    #1837     Oct 25, 2005
  8. -8
    1400shares

    got stuck with N in the morning... wasnt able to ride it out.
     
    #1838     Oct 25, 2005
  9. Pretty sad again, but still green at least.
     
    #1839     Oct 25, 2005
  10. +1483, my trainee showed me a nice trade and made me another $400 :D
     
    #1840     Oct 25, 2005
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