I didnt' post the last either three or four days... probably because I was destroyed... It was around -1050, -1400, -1100, -950 Today at least ended that nasty streak. Here's today's blotter. Net +644, Gross+1404.
Too many phone calls and too many emails while trading. At least the other profession pays better 12 ES +650 20 ER2 +110 6 ZG -190 12 QM +375 EUR +600
+5.60 Net 2200 Shares It's a disappointing day. I was beat up a bit in the early morning and then ticked out of some good longs, later. At least, I made back my losses.
+$833 net, 226 ES contracts traded Nice gain but bad bad day. Tried to play the short side way more than anyone with 2 good eyes and a chart ever should!
This is just flat out embarrassing. My ratio of longs to shorts was more than 4:1 today. However, every stock I bought was immediately mauled/beaten with a shovel. How is it possible to lose money on longs on a day like this? Thankfully the few shorts I did take paid off a little bit.