Two trades today. I'm probably going to call it a day because I have an early flight to catch tomorrow morning and have not gotten everything in order to leave yet. I will be back Sunday night, so the Journal wont have anything from me tomorrow or this weekend, but I will resume on Monday.
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Nov 14th Trades
Short NQ 1034 (8:42) and closed at 1030.5 for a gain of 3.5. Today's gap on NQ was average so I took my short. However, as we came down to the 1030ish area the market had a small double bottom in place that it held onto very well. The TICKs also held very well etc, so I got out before my target (initial target was 1018) and took the small gain.
Long ES 900.5 (11:55). Profits taken at 901.75 (12:02) for gain of 1.25
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Discussion of ES Trade:
[12:25] <brandon> simple is always better
[12:26] <brandon> so lets start here with the basics
[12:26] <brandon> the one minute chart here is in an uptrend
[12:26] <brandon> making higher highs and lows
[12:26] <brandon> the market has been showing a lot of health in that it just traded sideways
[12:27] <brandon> based out which is about the most productive thing after a gap
[12:27] <brandon> now at the breakout point you can go ahead and buy
[12:27] <brandon> but you have to keep in mind with breakouts that they are the lowest % trade
[12:27] <brandon> as far as how often you will be profitable
[12:27] <brandon> overall I find that Im going to be profitable on about 1/3 of my breakouts
[12:27] <brandon> now
[12:27] <brandon> if I managed them correctly I would make a ton of money
[12:27] <brandon> because the ones that go, really go
[12:27] <brandon> but
[12:28] <brandon> after having lost several times in a row
[12:28] <brandon> I tend to not manage the winner correctly
[12:28] <brandon> so nix breakouts
[12:28] <brandon> that does not mean however
[12:28] <brandon> that I dont get to trade
[12:28] <brandon> i just have to wait
[12:28] <brandon> nothing ever moves in a line
[12:28] <brandon> there are always pullbacks
[12:28] <brandon> so
[12:28] <brandon> once we had our breakout
[12:28] <brandon> the ES confirmed its strength
[12:29] <brandon> and we had a thrusting move above the Kband
[12:29] <brandon> this tells us that a pullback to the 20ema is going to be a buying opty for us
[12:29] <brandon> now you can see there are two thrusts here
[12:29] <brandon> the first one just went sideways
[12:29] <brandon> and did not manage to hit the MA
[12:29] <brandon> so we passed on this
[12:29] <brandon> why?
[12:29] <brandon> because we dont have to take things that are not perfect
[12:30] <brandon> picky traders are profitable ones
[12:30] <brandon> by waiting for our setups
[12:30] <brandon> we insure that we will be here to play again
[12:30] <brandon> so it gets another thrust
[12:30] <brandon> and again we now know that this is a confirmation of strength
[12:30] <brandon> and a move down to the MA is our point
[12:31] <brandon> the MA was sitting at 900.5
[12:31] <brandon> so we place a resting order in
[12:31] <brandon> that once we get down trading there to get filled
[12:31] <brandon> patience pays
[12:31] <brandon> put our stop just a point or so away
[12:31] <brandon> and look for a test of the prior pivot
[12:31] <brandon> now
[12:31] <brandon> this isnt a big target
[12:31] <brandon> we made 1.25 points on this
[12:31] <brandon> however
[12:31] <brandon> our risk was only 1 to 1.5
[12:32] <brandon> and this is a setup that we find will produce profits for us about 80% of the time
[12:32] <brandon> the simple fact that it pierced the Kband tells you that you have a 2/3 chance of it testing that point again
[12:32] <brandon> but when you combine this with the strength we have had today
[12:32] <brandon> the first thrusting
[12:32] <brandon> the breakout etc
[12:33] <brandon> you had a trade in which it was very unlikely we would take a stop
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Days Return: (less commissions of $6 r/t) $120.5
Monthly Retun: (again less commissions) $867 (8.67%)
Margin Used: $10,000 per contract.
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Thats likely all for today. Have a great weekend, hope you are still all enjoying my journal.
Brandon