Trading like a chameleon

Discussion in 'Journals' started by chameleontrader, Jan 5, 2006.

  1. DE0007164600 got stopped out at 153.73€. Initial entry was 152.73€ 36 days ago. The idea was good, but I got in much to early and got out much to late. My shortterm trading hasn't shown any profits so far. I hope it will change. I will order loads of books, read them, backtest some strategies and come back.

    DE0006048911 is rocketing again. Very nice, since a build up a great position last week.

    DE0007238909 is my biggest position. I will keep my SL pretty tight and get back in after consilidations. The stock has run pretty hot lately. The company is a producer of machines for producing DVDs. They have a quasi monopol and the stock is rising from the ashes like phoenix.

    FI0009003305 0,00%
    NO0010096985 14,39%
    AU000000WPL2 9,05%
    DE0006048911 23,69%
    DE0007238909 26,47%
    GB0007188757 10,65%
    DE0007164600 0,00%
    Cash 15,76%

    @Osho67:

    the numbers (ISINs=international standard investment numbers) above are my portfolio.

    The rest should be clear I hope. I gave my positionsiize and my risk per position.

    @steve:

    What I did is take a price objective and the risk for each position. I didn't use any special techniques, but tried some numbers by hand. That's all.

    Thx for your time - I appreciate any comments in here.
     
    #11     Jan 11, 2006