A 70k bet that I can't make a 50% gain in 2009

<img src="http://puddles.humanfund.ca/20101203/spy.png">

<img src="http://puddles.humanfund.ca/20101203/rig.png">

<img src="http://puddles.humanfund.ca/20101203/teva.png">

<img src="http://puddles.humanfund.ca/20101203/aig.png">

<img src="http://puddles.humanfund.ca/20101203/rrd.png">

<img src="http://puddles.humanfund.ca/20101203/v.png">

<img src="http://puddles.humanfund.ca/20101203/nem.png">

9:38

LONG RIG 72.15
STOP 71.89
TGT 72.67

- SPY gaps down, RIG gaps up and goes
- Long over a bar as SPY looks to close the gap
- Made a few mistakes on this one. At the least I should have moved the stop to b/e as we got 35c of the way there.. I could have also used a stop of .99 which would have made a much more attainable target
- Regardless this trade is a loss that probably could have been a winner if managed correctly and a break even at the least
- out -0.29

9:47

SHORT TEVA 49.32
STOP 49.42
TGT 49.12

- TEVA gap and crap going away from the market
- Short the tight bar under the support
- out +0.19

10:19

LONG AIG 43.26
StOP 43.15
TGT 43.48

- Market pulls back at 10am, AIG makes new highs
- Great support at .16
- out -0.12

10:22

SHORT RRD 16.45
STOP 16.5
TGT 16.35

- Weak since the open, kinda late on the entry
- out -0.08

10:30

LONG V 77.21
STOP 77.06
TGT 77.51

- Strong through the post 10am SPY pullback
- Got to 3c of tgt, should have been a b/e trade
- out -0.25

10:45

LONG NEM 62.17
STOP 62.06
TGT 62.39

- Gold strong while market weak and choppy, kinda chasing a trade at this point
- out -0.13 (shaken out then to tgt.. figures)

1-5 day (which probably should have been a 1-3-2 day) to cap off an 11-13 week. 5-11 in December

http://puddles.humanfund.ca/wp/2010/12/05/2010-12-03-trades/
 
9:36

LONG RIMM 63.16
STOP 62.99
TGT 63.47

out -0.20

9:41

SHORT AMGN 63.39
STOP 63.47
TGT 63.23

out -0.08

10:16

SHORT WLP 56.39
STOP 56.51
TGT 56.18

out -0.16 (should have been a b/e stop)
 
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