+123.20 Net 3200 Shares If I didn't trade like such a moron, this could have been a big day. I made too many mistakes early on.
-$1325 net, 69 YM contracts traded I don't deserve to be trading after today. 2 MAJOR mistakes - tried catching falling knife, and doubled/tripled up several times. The late afternoon volatility killed me. I had worked back to just a $200 loss but then all hell broke loose and I was a deer in the headlights. Time to regroup and see if I have any capital left to trade with - acct. is at a new low.
+104 Still only trading 200 shares at a time. I was short all morning and was getting smoked. Finally my positions turned positive but I left so much money on the table. I got out 10 mins before that monster drop. I had 3 stocks that if I held would have been over $1 gain. So disappointed with JWN. Got stopped on my short for break even and it just tanked after. should have been over $500 today. But nonetheless a positive day is a positive day.
Best day in a long time. Wow... such insane prints, arb all over the place. I wish everyday was like this.
+327/26K shares... cudn't put a damn trade in the tanking time...software got hung up...it really hurts to be trading outside north America i hate this
Traded really well in the morning even in premarket. It just went ape shit in the afternoon. Problem was exiting at break even for the day or even at loss after you have been up. didn't exit at my stops Maybe it was a blessing because if I had gone counter trend and that 10 point drop happened...my computer just froze with the amount of data, who knows After 1500 I knew what the market was doing and was just in shock to trade. My obvious weakness is trading with the trend. Here the farrrk it is....