$3,638.28 net profit. Yesterday I lost about $3,170. I didn't bother posting as I was utterly disgusted with my trading, as I even put trades on in ES, which I don't trade, and I had some stupid 10yr note trades. Stupid mistakes that I have learned from.
While better than expected, still extremely messy as I implemented some changes prematurely. An idiot is a person who makes the same mistake over and over again. 0301: -$2303
Decent week. After some bureaucracy from IB, I'm finally approved for portfolio margin. Instead of the initial plan to implement the 4th strategy, I will increase size significantly on a current strategy. The 4th strategy drawdowns correlated too strongly to a currently implemented one and I'll keep it in sim instead. This is mainly because of the current short selling restrictions. 0302: +$2385 ---------------------- Week 9: +$4213