Trader P/L 2005

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

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  1. Good end total. Waited forever for the emc break of 14.00. Great week overall.
     
    #1971     Nov 4, 2005
  2. slow day for me. however, got some $ from Eurofutures again today.
    have a great weekend, all.
    patrick
     
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    #1972     Nov 4, 2005
  3. aqtrader

    aqtrader

    +178
    730 shares

    Getting back normal.

    Summary of the week:
    up for 5 days
    Net P/L: 339.43 (Simulation system profit 857.92. Too bad only catched less than half).
    Total number of trade: 40
    Net P/L per trade: 8.49
    Worst trade: -41.14
    Best trade: 55.39

    Still struggling with emotional actions. Missed many nice gains due to premature exits. This is the big reason the results is below the system simulation performance.

    Plan for next week: the same as the last week.
     
    #1973     Nov 4, 2005
  4. +606, very slow day for me, especially the afternoon.
     
    #1974     Nov 4, 2005
  5. swcom

    swcom

    Failed to make even a scrap today-waaay off the mark right from the open, leaving me with an awful down week.
    -2700 net today.
     
    #1975     Nov 4, 2005
  6. +439
     
    #1976     Nov 7, 2005
  7. didnt trade

    early midterm
     
    #1977     Nov 7, 2005
  8. swcom

    swcom

    Some early churn, but standing at + 574 net, and done!
     
    #1978     Nov 7, 2005
  9. on friday:

    stocks: -150
    futures: + 670

    i'll get around to holding overnights eventually
     
    #1979     Nov 7, 2005
  10. today:
    stocks: -180
    futures: +330

    today's ulcer index: very high. real POS R:R ratio today
     
    #1980     Nov 7, 2005
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