So my todays situation:
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Closed positions yesterday:
** XLF Short, entry: 25.20, exit: 25.07 (trail-stop), P/L: +0.13 pt
** XLF Short, entry: 25.27, exit: 25.16 (trail stop), P/L: +0.09 pt
Open positions:
** BBH Short, entry: 129.24, stop: 130.50, target: 126 - 125 - 124
(entered 27.08.2003)
New setups for 27.08.2003
** TLT Long, entry: 84.15, stop: 83.10, target: 86.80 - 87.00- 87.60
breakout for correction
** SPY Short, entry: 98.40, stop: 98.90, target: 97.20 - 96.30 - 95.40,
breakdown via support, weakest broadbased ETF
** UTH Long, entry: 70.80, stop: 70.30, target: 72.00 - 72.30 - 72.80 breakout after consolidation
** PPH Short, entry: 74.90 - 75, stop: 75.70, target: 72.80 - 72.10 - 71.50
Short on downtrendline - resistance, weak sector
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Any comments ?