ES Journal Archive (2009 - 2010)

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832.50 is a 25% rally on the cash and 62% of Jan 6 high on m9, 2 different players taking some off the table here I think hence the slow pitch right in the strike zone for a low risk short.
 
Long 827.25

There are still way too many Booya tards. Ya might as well use them to your advantage.

BTW anyone having problem accessing ET via Google Chrome?
 
Quote from miguel_s:

Hi, I have been following this journal for a while. 50% junk-50%decent on this thread(won't name names)

I focus my discussion on risk and position management. I urge newbies to visit my thread http://elitetrader.com/vb/showthread.php?threadid=158815

I will post detailed discussions about risk management and position management because myself and my mentor traders truly believe that logical thinking is the only way to win at trading.
Hey mig,

Just why the hell did you change your alias, you cowardly SOB? So you won't name names. Fine. But do you have the balls to post your trades in realtime? Screw the blotter. After Madoff, I can care less about fictitious documents. show us what you're made of and then we'll decide for ourselves whether we should take your words seriously.

BTW nobody's a noob around here. Dig?
 
Was not around my trading computer for 2 days, here is an observation worth looking into.

For daily and weekly level, you can easily compare the behaviour of the current market against 37-38 and that will give you a road map of what may be in store.

But, that was price action from too long ago and the efficiency of the market nowadays cannot be underestimated.

Check out the end of 98 rally and see how that turned out.

Key levels are 850-870 where a 200 pt rally may finally take a pause at, or, if 760 is taken out and act as resistance, a much safer short than picking a top.

Since I am not likely around my trading desk for sometime, will not be able to post anything real-time for now.

Good luck all!
 
Only redeeming factor is I make more than 17 points since taking it off 17 points ago, And now Short!


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startraitor


Registered: Jan 2008
Posts: 1256


03-22-09 10:41 PM

long 774, target 830, stop 724
 
Quote from Bigpipn:

No worries, this is an ADU. Sell the close and cover tomorrow in the AM.
Does this work the same as an SDD? I thought betting the opposite direction on close was unreliable for ADUs...
 
Quote from miguel_s:

ok, I will make live trading calls tomorrow. after that, would you do everyone a favor and lose the attitude. Or are you just showing me that attitude because i make more than you. don't worry, i can help you if thats what you need.

from this point on, i will not answer to your meaningless insults, however i will make live calls for everyone to see.
I apologize if my previous comment rubbed you up the wrong way. But you really are a master of condescension, aren't ya? As if we're all just dying to see you trade, you will benevolently share with us your oh-I'm-so great trades. Don't kid yourself, I don't. But if you insist, you better make live calls for at least a week. And by live calls, I mean "live" calls. Since you're such a money management freak, you better also include stops in your post as well.

This will be my last communication with you on any level, be it public or personal. Don't expect me to reply to your condescending crap in the future.
 
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