[2015] Futures P&L

-950 Nothing Tue +80 Nothing Thur Nothing Fri

I was positioned on Wed to make about 5k. Fucking that up made me want to retire for the week.

Thur I likely would have lost a lot. All I saw was shorts... price didn't get cheap enough for me.

Today I didn't see anything before I had to leave around 11 to see my command.
 
Most of the errors I've identified previously. Holding just 1 or 2 of the trades from the last 2 weeks would have put me in the black...

The reason I cut them short, I'm pretty sure I need to stop. I need to do some analysis - but I was cutting them on small (I mean MICRO) tick and 1 min TL breaks, which I think is far more hurtful than just ignoring them.

As I type this I realize how silly that is.... even tho it cuts your losses down bc you get out sooner, the market will break these lines many times in a good trend in your direction, ie you should ignore them and just look to take profit at a "large" goal.
 
-740 -600 Nothing Wed -1290 Nothing Fri

I really don't know how it's possible to lose so much. It's like I'm cherry picking the losers some how.

Thinking of increasing time frames..
 
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