Trader P/L 2007

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

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  1. naru2286

    naru2286

    Crap day considering the action. I was short biased all day and that was a foolish mistake.

    ER2 +260

    YM +130

    ZG -220

    EUR/USD +600
     
    #2261     Jun 13, 2007
  2. +800 today.
    Shit day, was +4000, gave too much back.
     
    #2262     Jun 13, 2007
  3. Sheik

    Sheik

    Hi Traders


    Good day today, but i am waiting on friday.

    I will be very aggressive as all the option expiration.

    My best and worse days are there.

    Good trading
     
    #2263     Jun 13, 2007
  4. Today was horrible... a classic example of great days being followed by horrible days.

    Net: -750

    Gross: +160

    I got smoked! Lots of wrotten trading, and we had order-entry issues... I.E. stuck orders which could not be cancelled which were using up my BP so that I couldn't exit positions going against me... this cost me several hundred bucks.
     
    #2264     Jun 13, 2007
  5. jsyyap

    jsyyap

    -40 today. chicken trading.
     
    #2265     Jun 14, 2007
  6. woke up late today and missed first 30 minutes, which is odd for me. then got myself into a $250 hole by trying to ss a strong mkt. finally got my head out of my ass, and got it turned around. happy w/ day considering start...

    +396 net on 6200 shares
     
    #2266     Jun 14, 2007
  7. wacked on crude for -$1350........otherwise would`ve been a good day without that.
     
    #2267     Jun 14, 2007
  8. -97.10 Net
    1400 Shares

    I destroyed myself early on. This is my first day on the new trading platform. There were a few hitches, but I just traded like a moron.
     
    #2268     Jun 14, 2007
  9. +419 net, 28 contracts traded

    Slow afternoon considering options expired...
     
    #2269     Jun 14, 2007
  10. jjump

    jjump

    YABBAWABBA!!
     
    #2270     Jun 14, 2007
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