+452 on ES. Another timid day -- I tend to cancel orders and bail with just a tick or two profit after making a few trades.
-363 too many positions, never refer to chart, not focus, if i did refer to chart, would have hold longer, and got whipsawed left right, should not be short biased although DOW is at its high
325 poor trading today. bought CL at 81.6 and rode it to 83+, and did not take profit, watched a little Tv, after came back, man, it is around 81.8, got out with minor profit. shorted itman at 39.97 pre-market with 100lot, got out at 38.0+, nice trade. shorted GC at 1119, but afraid of strong rebound (gc always do that), got out prematurely, very poor trading
Down day - could have been worse. FAS 300 long -273 DRN 200 long -222 Day: -496 Week: +199 Month: -314
USD -192 EUR -592 The last few weeks I seem to eat like bird ... I've been trying to short tops all day. When the time was finally there to go short, I didn't dare to take the trade anymore. I'll spend the next 2 days in sim again, so no posts. Phill