I am thinking about going short in the YM late today 03.22.07

Quote from rcj:

Dec 21 trades.

Begin: 1st, 1 short @13330 2nd 1 short @ 13340.
End: 1short @ 13552.

IN FIFO order: -32 -38 -236 +8 +16 -4 -6 = -292 :eek:

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1753781>
You don't have an edge.

So what's the point? :confused:
 
Dec 26 trades.

Begin 1 short open @ 13643
End 1 short open @ 13611.

In FIFO order: +13 +18 +7 -9 = +29

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1755861>
 

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Quote from MandelbrotSet:

You don't have an edge.

So what's the point? :confused:

Hey MandlB ... thnx for the post ..... cheers...and
good luck to ya tues.

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1755881>
 

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Dec 27 trades ...

Calculation begins on line 8.

Begin 1 short open @ 13611
End 1short open @ 13462.

In FIFO order: +122 +31 +10 -0 -25 = +147

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1755911>
 

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Dec 28 trades.

Begin 1 short @ 13462
End 1 short @ 13419

By fifo: +28 -8 -10.

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1756095>
 

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Dec 31 trades.

Begin 1 short @ 13419
End 1 short @ 13441

By FIFO: -30.

Note. For 2008 im switching to average cost. Its too confusing when looking at the daily net i post every 2 or 3 wks since im often holding 1 or 2 short while trading doing another short. For example, in the next post im putting up the daily net list which shows over 400$ realized for dec 31 per IB.

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1756127>
 

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Amounts taken from IB daily statement.
See previous pages for dates back to beginning Q4/07.

<img src=http://www.elitetrader.com/vb/attachment.php?s=&postid=1758178>
 

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