Haven't posted in a while. Just coded my stategy and today was the first test run. I hate starting off on the wrong foot
Pretty good day. There was tons out there i didnt trade particularly well today, but the sheer volume of good action made me money. Check out that SEC fee... i thought that was going down wtf!
Could have made more except YM turned against me. Used a bit of ER2 to hedge though. Majority of PL was due to EUR and JPY shorts. Futures: + $427.50 Stocks: + $126.00
good day today, a little slow but picked some very good entries. If anyone cares I say GG is the best long and I am carrying some options over night in that one in another account. May swing into December as I see gold breaking 5 bills soon, and people are getting interested. MM
+1000 PURE LUCK! almost stopped out until the last hour then i had a couple of nice trades at the end. all in all im thrilled with the result considering how poor i traded.
Forgot to copy my blotter blotter today. +$80. Mostly from the gimmick trading though and I am trying to get away from that. Very difficult though.
+1449 should have been much more. I had a problem with my strategies today: The three that kicked in today were supposed to buy 3 contracts a piece but only picked up 1, 1 and 3. In other words I was undersized by 4 contracts on a good day. I fixed the problem but I wish it had happened on a down day!