2016-09-09 Summary
Daily P&L: -2.75 (2 trades, 1 loser, 1 winner)
Unfortunately I need to call it quits early due to a work conference shortly.
Trade Summary
Trade 1: Saw the weakness in the market this morning, and I thought the market would sell off and continue to flag downwards. I was right on the call, however was early with my entry as the market was range bound for a bit before selling off. More patience / higher entry price would have made this a profitable trade.
Trade 2: Market was range bound for a bit as I mentioned in my post, and as I saw the market inch downwards below the bottom range, I had a feeling the sell off would continue. Could have entered at a better price 4750, and also exited at a much better price.. however that's how it goes sometimes! You risk missing the move and exit if you're too aggressive with your pricing!
I will start numbering my trades going forward so it'll be easier to identify.