I tried to initiate a few trades earlier but I got the dreaded IB "potential pattern day trader". It seems like I am done for this week since my account isn't over 25K yet.
Here is a little recap of "week 1" starting from 11-10 to 11-17. starting with 21K. I had opened position on only 3 stocks(VISG,GLBL,KNOT). I went long and short on VISG,GLBL and only long on KNOT. Had a few option play on GLBL.
start with = 21,000
Week 1 = 23,725.20
net(after coms and fees) = 2725.20
net % = 12.98%
It is a great start but I am not expecting this kind of return every week. Leverage and trend help increase my return this week, eventhough I was on the conservative end of my system. I am intending to stay in this conservative mode for the next three month and reassess my position for greater R/R.