Good setups in the morning. But hesitant to increase size. Little more profit on fewer shares. Finished for the day. $226 net on 2500 shares, 10 trades.
Another solid day thanks to LMRA If an idiot like me made a G on it, then Mil Man made 10G on it...lol Cheers
<b>44 contracts ES, one full turn, two 1/2 position trades long trade +3pts, short trade +1pt = +4pts x 1/2 positions +$4,400 gross</b> Long trade trailed out for +3pts on the low tick before buy programs kicked the tape upward mere seconds later... more than +3pts higher from actual exit. That's second day in a row of exiting on low tick before buy-program slams. Traded 1/2 positions per turn due to overall price action... not the type of structure I prefer to trade. * Nothing in the ER today... didn't attempt to trade the morning, that's where all the real juice was. Another opening bell levitation, then muted swings for 5.5 hours to follow. Little afternoon dip offered paltry gains, but no big deal. "Low-Beta" account means boring. Just chipping away at the stone, picking up small gains here & there until range or trend sessions grace our charts. Very boring intraday (in)action right now... not likely to last much longer.
got just destroyed (by my standards anyway) when the market turned down around 1:30 as I took my biggest long of the day. Funny how that works. Was able to get most of it back but c'mon... everytime i take a 'swing' I end up getting fed the business end of the position
+100 I have been posting for 5 months straight and will not be posting for a little while. I will be working on some new strategies and focusing on the hybrid market....Good luck to all...