Trader P/L 2010

Discussion in 'Journals' started by Robert Weinstein, Jan 3, 2010.

  1. +647
     
    #541     Mar 10, 2010
  2. mtnrnr

    mtnrnr

    +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.
     
    #542     Mar 10, 2010
  3. -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
     
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    #543     Mar 10, 2010
  4. 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
     
    #544     Mar 10, 2010
  5. telozo

    telozo

    Down day - could have been worse.

    FAS 300 long -273
    DRN 200 long -222

    Day: -496

    Week: +199
    Month: -314
     
    #545     Mar 10, 2010
  6. qixiq

    qixiq

    +3316
     
    #546     Mar 10, 2010
  7. gkotopou

    gkotopou

    wheeeerrrrrres the voooluuuuuuummme...

    +450

    9k shrs
     
    #547     Mar 10, 2010
  8. ($8)
     
    #548     Mar 10, 2010
  9. -100.00 for day 3 es trades , bad timing.
     
    #549     Mar 10, 2010
  10. BadPhill

    BadPhill

    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
     
    #550     Mar 10, 2010