+38.00 I missed most of the crazy afternoon cliff-jumping. Here's a trade that makes me want to cry: I shorted SPY at 87.32 at 9:31:48 am. Too bad I didn't hold that all day. Oh well...
took a long break after 11/20's loss and decided to call it a month.... ended november -285.0868 net with 6 losing days .... 11/05 = -1713 =OUCH 11/06 = -155 11/10 = -1558 =OUCH 11/14 = -387 11/17 = -1123 =OUCH 11/20 = -1544 =OUCH today's a different story though .... very very very good start for the month hope to keep my focus and keep it up ..... goodluck to all
stopped posting here in the main 1.5 months ago while I put the finishing touches to my trading algo. it's pretty much finished now and up and running so I thought i'd get back to posting, at least until year end. the core strategy is still the same but now with more stocks being watched. for various admin reasons, trading is now done over 2 a/c's - 1 denominated in euros, the other in good old GBP (I'm in London). I'll post a shot of both FWIW. as before, strategy trades stocks in US and Europe. today - good day, heavy comms. +$5696 net