Today's P&L: about -$1800. I cut all my losing positions today and left all my winning positions on the table (about $3600 unrealized profit). I plan to get rid of half of my positions tomorrow
Grossed $1200, Netted $180, traded 102,000 shares, traded horribly. I caught a little over a point on 500 shares, but lost money pretty much the rest of the day.
this market is just awful for me no trades today, and dont see anything on horizon, so im calling it a day now w/ the fomc coming up since i rarely trade after that.
-$608 net, 31 ER2 contracts traded Had to walk away... FOMC was not good to me and I overtraded again.