+200, on 198K shs. took a big hit w/ 1 method today, but fortunately the other accounts balanced it out.
Been working on some new strategies. Hopefully it should keep me on the right side of the main trends for the day, whereas prior I just traded price action shooting from the hip Here it is...
-$9350 net on 209,000 shares. Worst day on record for one strategy today and the others didn't do much to help.
Slow couple of days. 1/4: -$3640 on 631k shares 1/5: +$1255 on 398k shares 1/8: +$2891 on 345k shares Today's blotter is attached.
+15.70 Net 4200 Shares Another weak day. I found today to be very difficult. I thought I was going to be thwarted by my 10 winning day curse. I always seem to blow chunks for a bit after a good win streak. I was down 125 during the slop in the first 90 minutes, but made it back. I'm out of my last position, but don't want to get back into any more junk. The market is confused, today. Also, I slightly increased my average position size. Another frustrating thing is that I missed the entry on a good winner because I had to take a dump.