I keep forgetting to post. Going to try to keep up with this for some time because I've been awfully proud of myself lately. I'll post monthly pnl from the broker as well.
Disappointing day. One big loss in silver took away all of the gains in my bearish positions. Oh, well. Looks like the market wants to go up tomorrow. Code: AAPL 10 10 538.423 529.690 0.00 -87.33 0.00 0.00 -87.33 AGQ 100 0 53.8200 51.1000 -39.00 -272.00 -0.88 0.00 -311.88 CORN 100 100 46.3400 46.1600 0.00 -18.00 0.00 0.00 -18.00 DTO 0 100 -- 49.8900 12.00 0.00 -0.87 0.00 11.13 DUST 0 100 -- 32.7900 37.00 0.00 -1.02 0.00 35.98 ERY 400 0 7.7700 7.9700 0.00 80.00 -1.95 0.00 78.05 FAZ 0 200 -- 16.3800 40.00 0.00 -0.84 0.00 39.16 SDS 100 100 54.3500 54.9100 0.00 56.00 0.00 0.00 56.00 SKF 100 100 35.0849 35.4300 0.00 34.51 0.00 0.00 34.51 TMF 0 100 -- 74.2600 58.00 0.00 -0.77 0.00 57.23 UUPT 200 200 20.0301 20.0500 0.00 3.98 0.00 0.00 3.98 VXZ 0 100 -- 28.0700 49.00 0.00 -0.77 0.00 48.23 ZIV 200 0 24.1700 23.8600 82.00 -62.00 -0.95 0.00 19.05 Total (Stocks) 239.00 -264.84 -8.06 0.00 -33.90 Total (All Asset Classes) 239.00 -264.84 -8.06 0.00 -33.90 Total P/L for Statement Period -33.90 Time Weighted Rate of Return -0.06%
modest day so far, but I'm done for the week up on the day +583, but still down on the month today blotter
I'm using bootcamp and I can't take screenshots right now. I just deleted my statement email from my phone when I remembered this thread. I'm at work right now. Profit of ~$20x.xx. The short trade was cut short due to work obligations. I like to keep Friday trading short so I can get r&r before work. Total for the week: ~$1100. PNL month of November: ~$2950
Didn't feel right to be long SWHC today (whatever gun enthusiasts might say) but I put my order in last night for a one-day trade. Poor kids. Code: AAPL 10 10 529.69 509.79 0.00 -199.00 0.00 0.00 -199.00 AGQ 0 100 -- 49.8800 -97.00 0.00 -0.87 0.00 -97.87 CORN 100 100 46.1600 46.5700 0.00 41.00 0.00 0.00 41.00 DTO 100 0 49.8900 49.2800 51.00 -61.00 -0.88 0.00 -10.88 DUST 100 0 32.7900 32.5900 70.00 -20.00 -0.85 0.00 49.15 FAZ 200 0 16.3800 16.5410 -22.20 32.20 -0.91 0.00 9.09 SDS 100 0 54.9100 55.3804 -15.04 47.04 -0.89 0.00 31.11 SKF 100 0 35.4300 35.7000 -9.00 27.00 -0.85 0.00 17.15 SWHC 0 400 -- 9.1300 -252.00 0.00 -2.64 0.00 -254.64 TMF 100 100 74.2600 76.0000 0.00 174.00 0.00 0.00 174.00 TNA 0 100 -- 58.3200 41.00 0.00 -0.77 0.00 40.23 UCO 0 100 -- 26.7300 29.00 0.00 -0.87 0.00 28.13 UGLD 0 100 -- 43.6000 -16.00 0.00 -0.67 0.00 -16.67 UUPT 200 200 20.0500 19.7601 0.00 -57.98 0.00 0.00 -57.98 VXZ 100 0 28.0700 28.1900 -10.00 12.00 -0.83 0.00 1.17 ZIV 0 100 -- 23.7700 -9.00 0.00 -0.77 0.00 -9.77 Total (Stocks) -239.24 -4.74 -11.81 0.00 -255.79 Total (All Asset Classes) -239.24 -4.74 -11.81 0.00 -255.79 Total P/L for Statement Period -255.79 Time Weighted Rate of Return -0.44%
Where are the old good days when traders where posting regular profits in excess of +20k,+30K +50k I even saw 200K-500k profits in the previous P/L threads.There were quite a few big hitters in those days What had happened to all of those traders, are they still in the market, I do not see them posting anymore. There used to be more activity in the P/L threads, like +800 pages, comparing to todays 157 pages looks very disappointing. I'll post my blotter later in the day
ok for those with inquiring minds. november was +.08%, december i am mtm -4% (i got killed not closing fast enough a trade..that has dropped like a stone this month) i will post an ib portfolio analysis for year end once they become available. so far, i am up a lot in money terms and %...not like those guys who did 20k days back in 07..etc but enough for me. today i hope is a trend to get me positive for the month (my first losing month of the year>>so far) +$7,877 for dec 17, 2012