Pretty decent day but what was with that squeeze in LEND? Thank God it dropped enough to let me off the hook.
today's P&L: about $1900. Unfortunately I feel like self-complacent about this month and am unwilling to take big positions right now. Even I do take big positions, I tend to hold these positions much shorter than I should do. It looks like I will not make big money for the rest of Month.
I finally caved in and thought it would be a good time to start to participate in this thread. Really nice day today and hopefully more to come.
Net +250, Gross + 850. The last week I've been trading 300 share lots, after that horrendous 2-3 week period where I lost over 3 grand.
+600 net on 14 ER2 contracts. What a roller coaster ride this morning! I shorted the initial pullback right after the open, then reversed and caught the majority of the move up... The sharp move down after 10 am caught me by surprise, luckily I was only scalping for a few ticks and they all worked out.