Today's P&L: about $800 Total P&L for this week: $14,400 Monday $3700 Tuesday: $4200 Wed.: $5600 Thursday: $100 Friday: $800
Hi Traders In option expiration i don´t like the futures up in the premarket for my strategy, so i was conserved in the opening volumen . i trade 95% at the open. i am waiting for Russell the next week !!!! Good weekend
I forgot to post the last two days P/Ls... Thursday was -$350 Net, I forget my gross, it was in the $300-500 range Friday my net was -$100, and my gross around $460. Thursday was a day of crazy swings... down $500 off the bat, then had an awesome trade on BID (800 shares, covered 300 at a 30 cent profit, 200 at a 76 cent profit, and 300 at a 96 cent profit)... then went up $300... then lost a bit, and became discontent, and ended up losing on 7 or 8 trades in a row at the close (with size) to finish don $350... sucked ass...
June 11, 2007 -$761.74 June 12, 2007 $0.00 June 13, 2007 $2,739.66 June 14, 2007 $0.00 June 15, 2007 $615.95 Tuesday and Thursday I only opened positions but didn't realize any gains. Total for the week = $2,593.87 YTD = $6,849.42
-55.82 Net 2600 Shares I still can't get anything going and today was probably not a good day to try.