DT1 Swing Trading Journal

TOTAL P&L = 1 732$

I did not follow the market for 1 week. I was stopped out on all my open positions.

New positions
+200 MOBE ............ break out
+200 STKL ............. break out
+200 IIJI ................ pull back

Good trading,
DT1
 
TOTAL P&L = 2 218$

+200 DITC

new trades
+200 TWTC
+100 JLG
+200 ASIA
+200 ASML
-200 SBGI
0 ATMI (bought and sold by mistake intraday, I should be long 200 shares)

Good trading,
DT1
 
TOTAL P&L = 2 487$

New positions
+100 CEDC
+200 IFLO
+200 KCS
-200 ESRX (it should only be -100...)

I reached a new step today. My maximum position size is now 400 shares. My goal next week will be to increase my positions to at least 300 shares instead of 200.

I had a good week. I think the key to my succes was the fact that I have a good routing now and I use a good trading tool. I am now using Esignal for realtime charting and this has allowed me to be more consistent. It is important to have a good system to make proper decisions.

One other thing is that I inetend to stop publishing my trades by the end of this month. It is time consuming.

Good trading,
DT1
 
TOTAL P&L = 2 752$

+50 CEDC

New trades
+300 EXLT
+300 LIOX
+200 NEWP (should be 300 but the stock move up too quickly)
+200 EVG (should not have bought the last 100 shares)

Good day, I could increase my size as expected.

Good trading,
DT1
 
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