+17.30 1800 Shares It was a day of missed opportunitites. I'm a little frustrated at that. I'm actually just glad I didn't churn myself to death with the S&P flat lined like it is now. Who knows...it might explode one way or another before the close, but I'm gonna call it a day.
Four round turns, 39 ES contracts per turn short, long, short, long... -2pts net every time <b>-$15,600 / -$400 per contract / -8pts ES net -5.5pts ES (cumulative) for November</b> Breakeven day in ER, par results that symbol. Traded smoother than ES, hard to believe. * Enter 1/2 position, market moved in favor, enter second 1/2, price action turned right there to chop the other way. Four times without abate. Traded the 13min chart almost exclusively to avoid sideways chop = false wiggles. Didn't happen. Bigger range from 8:30am thru 8:51am EST than 6.5 market hours that followed. Worst daily total since latter part of August. Tape went absolutely nowhere... couldn't fulfill pivot point, wouldn't sell off. Didn't expect a wide range day, but no movement at all? Non-farm payroll nonsense should shake tapes Friday, see what happens thru the day. Expect it will take into next week for net profit status in this account... glad we get 20+ sessions per calendar month :>)
Afetr having NOVL hand me a few big beatings, finally managed to take a really big short near the top to recover some cash and end with another very good day. Oh and Thanks TACH, see they added ACOR to the short list today. Woop woop!! it does no volume now. MM
Hey Mil - yes ACOR added to the short list - nice of them to add it when its bloody erractic - the stock doesnt know if its coming or going. LONG?SHORT it doesnt matter - i am still wrong..haha Nice day again bud. As for me, my pitance was made on NOVL.