A little bit more info on my performance-
From Jul2008 todate I have cleared about $1.04M of actual money. This is less than as calculated per monthly returns, but I have been withdrawing regularly for expenses and taxes.
I have recorded every trade I have made in excel, so I can manage to do all kinds of analysis on my trades
I usually divide my trades in 3 categories - Stocks and Equity Options, Futures(including stock index futures and fx futures) and fx otc. I didnt start trading fx otc till Sep 2009.
My total P&L by category is as follows -
Stocks, Futures, FX Otc
2008JulF - -$17,000 $130,000 $0
2009 -$1,000 $314,000 $280,000
2010 $37,000 $122,000 $51,000
2011Jan-Apr -$3,000 $136,000 -$12,000
TOTAL $16,000 $702,000 $319,000
On the stocks side, despite of making some excellent calls, I have hardly made any money. I am just a lot more comfortable with markets which are open overnight and I am confident of my stop losses holding. As a result, I have been reluctant to hold stocks overnight and too much in and out has resulted in much frustration and no income. I feel as I get more confident in holding my stock positions, my results should improve.
For all the futures trades, here is the breakdown -
Ag commod, Bonds , Metals, Energy, FX, Stock Index
2008 -$1,000 $8,000 $32,000 $49,000 $43,000 $0
2009 -$8,900 $96,000 $124,000 $7,000 $94,000 $2,600
2010 $11,000 -$9,000 $90,000 $5,000 $29,000 -$4,700
2011 -$11,000 -$4,600 $71,000 -$14,000 $72,000 $22,000
The good thing is I have made money in all types of commodities except ags, but the bad part is despite a major bull market in equities, I have hardly made any money.
From Jul2008 todate I have cleared about $1.04M of actual money. This is less than as calculated per monthly returns, but I have been withdrawing regularly for expenses and taxes.
I have recorded every trade I have made in excel, so I can manage to do all kinds of analysis on my trades
I usually divide my trades in 3 categories - Stocks and Equity Options, Futures(including stock index futures and fx futures) and fx otc. I didnt start trading fx otc till Sep 2009.
My total P&L by category is as follows -
Stocks, Futures, FX Otc
2008JulF - -$17,000 $130,000 $0
2009 -$1,000 $314,000 $280,000
2010 $37,000 $122,000 $51,000
2011Jan-Apr -$3,000 $136,000 -$12,000
TOTAL $16,000 $702,000 $319,000
On the stocks side, despite of making some excellent calls, I have hardly made any money. I am just a lot more comfortable with markets which are open overnight and I am confident of my stop losses holding. As a result, I have been reluctant to hold stocks overnight and too much in and out has resulted in much frustration and no income. I feel as I get more confident in holding my stock positions, my results should improve.
For all the futures trades, here is the breakdown -
Ag commod, Bonds , Metals, Energy, FX, Stock Index
2008 -$1,000 $8,000 $32,000 $49,000 $43,000 $0
2009 -$8,900 $96,000 $124,000 $7,000 $94,000 $2,600
2010 $11,000 -$9,000 $90,000 $5,000 $29,000 -$4,700
2011 -$11,000 -$4,600 $71,000 -$14,000 $72,000 $22,000
The good thing is I have made money in all types of commodities except ags, but the bad part is despite a major bull market in equities, I have hardly made any money.