Trader P/L 2007

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

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  1. -3000 on thursday

    Was short ice at 155 and was holding for 152, but the piece of shit decided to go for 158 before falling to 152..I covered at 157 and went long, then it hit 158 breifly. Before I can sell, it reversed and I sold out at 156 for a double loss and then watched it go to 152. I was so pissed that I didn't even think that it was fair to post this loss. But then again, that would make me a coward...

    The MOST embarrassing trade of my life. I can never make 3000, but I can lose it so easily. It's what happens when I hold big size. It's the only thing that happens...

    +700 on friday
     
    #591     Feb 10, 2007
  2. + $555....2000 shares long and short (2 stocks). Good start to the week.
     
    #592     Feb 12, 2007
  3. lwlee

    lwlee

    I applaud your bravery.

     
    #593     Feb 12, 2007
  4. +114.50 Net
    3000 Shares

    What a boring, frustrating day. I was up a bit over 200, but most things didn't follow through. For a bit, it looked like we were going to dump, but there was a bounce and then some more non-movement.
     
    #594     Feb 12, 2007
  5. I thought I was being conservative today - frustration reaching new highs, account crawling lower...
    -$505 net, 6 ER2 contracts traded
     
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    #595     Feb 12, 2007
  6. ok day
     
    #596     Feb 12, 2007
  7. well there's 3 hours that i'll never get back again. this is officially getting frustrating.
     
    #597     Feb 12, 2007
  8. ada

    ada

    :)
     
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    #598     Feb 12, 2007
  9. Net 54, not too bad
     
    #599     Feb 12, 2007
  10. Kept the losses super tight, there just might be something to that.
     
    #600     Feb 12, 2007
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