Trader P/L 2007

Discussion in 'Journals' started by mnx, Jan 3, 2007.

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  1. Here it is...
     
    #2141     Jun 5, 2007
  2. Today's P&L: about -$2000

    I passed a chance of taking profits of my big position and eventually had to cut the loss at the last minute. The difference on P&L from this decision is more than $6000.
     
    #2142     Jun 5, 2007
  3. In a rut, awful day, but green again...
     
    #2143     Jun 5, 2007
  4. Net + 435, Gross + 1205

    Finally... I built a day... started out up 150, then went negative 150, then positive 200, then flat, then up 500, then closed up 435...
     
    #2144     Jun 5, 2007
  5. I'm back! Took some much needed time off and regrouped and traded on simulator for a bit. Threw out most of my systems and am proceeding forward with more discretionary control of my entries and exits.

    My May numbers:
    -$840 net, 66 ER2 and 1 ES contracts traded

    Date, Contracts, Net $P/L
    01-May-07 6 496
    02-May-07 3 203
    03-May-07 5 -179
    04-May-07 7 -310
    07-May-07 6 -365
    08-May-07 8 4
    09-May-07 31 -608
    16-May-07 1 -81
     
    #2145     Jun 5, 2007
  6. For today:
    +$441 net, 52 ER2 and ES contracts traded

    Blotter is slightly off...
     
    #2146     Jun 5, 2007
  7. jazzsax

    jazzsax

    Tuesday - 2 trades, +$99.60
     
    #2147     Jun 6, 2007
  8. naru2286

    naru2286

    Done for the day, nice early moves!

    ZG +660

    YM +30

    ER2 +540

    QM 162.50

    no fx today
     
    #2148     Jun 6, 2007
  9. This is garbage - not to mention I have had two power failures in the area in the last ten minutes. Calling it a day before I get fleeced, you know, murphys law and all that.
     
    #2149     Jun 6, 2007
  10. +8.4k on ES.

    Playing it very conservative.
     
    #2150     Jun 6, 2007
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