Believezz's overleveraged Trading Journal

NAV: 3.31M HKD

Switching sides and going long NQ now.
+4 NQ (9M)

-15 MBT
+800 BIDU
-1000 FB

Size is smaller because it contradicts with my long term bearish view. And Imma might switch back to short anytime.
 
NAV: 3.74M HKD

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Gonna try this trend following strategy trading CL, PL, EUR and HE.

I assisted in backtesting and improving this strategy at one of my previous jobs.
I still remember the essence of it, and that these 4 futures were best performing while not being too correlated.

Now that I'm trading my own money, I can jump right in (starting with relatively small sizes) and trade it manually. We'll see later whether any systems / automations are needed.
 
NAV: 3.93M HKD

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These are my positions over the weekend.

Bot some more Chinese stocks, there's a small part of me that believes in value investing and these stocks look cheap... but all they've been doing lately is making new lows so I don't know... can't be too wrong I guess when I'm so short overall.

I closed the hogs and added on to CL EUR and MCL. I think in these times of critical events, vol increases as well as correlation so I'll remind myself not to go crazy with these exposures.

Edit: Closed one more NQ so -4 over the weekend.
 
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NAV: 4.65M HKD (-300k deposits)

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Didn't have enough margin so I deposited 300k today.

Stocks were eating up margin preventing me to short the market, so I sold them all. Probably a mistake having bought them in the first place and I did feel stupid selling them at loss. Happens when I have contradicting views and couldn't make up my mind (buy cheap stocks vs short the trend). Will reflect more on this later I guess...

Also increased exposure on most of the positions

Very good day today, things going my way. Almost +500k.
Not much else to say, trading feels easy when I'm winning, and my views are the same for now.
 
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