November - Trade Journal

LONG GE 5000 23.96 +0.73
SHORT MRK 5000 57.65 +0.17
LONG .HDLE 149 1.20 -0.15
SHORT BBY 10000 23.89 -0.79
SHORT TXN 5000 17.21 -1.14

CLOSED P&L: $4,750 OPEN P&L: ($11,335)
MTD: $4,750
 
Why not? Different strokes for different folks.

All I care is that someone will want to sell me shares at a lower price than I sold. I think that will happen. Do I wish I waited? Sure, but thats ok.
 
I recently joined this site and have found it very interesting. What type of trading do you all do,(I have gathered that seanote employs several strategies). I scalp one sector and only one sector. I generally only watch my sector and nothing else.

positives: I always know what is going on in my sector. I have a obviously very defined watch list that is not too overwhelming

Negatives: I generally don't know if anything major is happening in Homes,drugs,software,semi's. I probably miss some great opportunities by stubbornly focusing on only one sector.

Thoughts/ideas??
 
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