2010/11/15
I traded VERY badly today. These are the days they stress me for some reason and these are the reason I cannot move to trade more contracts. It just happens that in some day I just go like crazy and loose half what I made previous month.
What is really interesting markets behaved quite strange and didnât really offer me any good setups. NQ for today very weak, YM quite strong, TF somewhere in middle. Maybe when I do not see real setups I start to look for any reason to go into market.
Trade 1 â I was buying S/R at open of the market. This was OK trade. Market was still very undecided â ES did new low, YM
didnât. -64 USD.
Then I was watching the market fall thinking about all the problems with Ireland and thought maybe we have some strong down day. I always get trapped in thinking like that⦠What should have warned me that Euro and Crude Oil where quite quiet. So I was planning where to short market. I decided to short it at pullback to pivot @ 721.40.
Trade 2 â Market didnât really looked like it will come to pivot and I shorted it earlier after I saw the price has problem with the level. First stupid trade. This one was still cheap -14 USD.
Trade 3 â I shorted the pivot area. This was OK trade as It was planned. Well what happed I used too tight stop and I didnât pay attention to it. I saw market is not going down and clicked to close trade in the same time my stop was executed â I got longâ¦. Both trades -108 USD (-54 USD was a trading error).
Trade 4 â To be honest I do not know why I entered there long. I was getting too emotionally involved due to previous trading error. -64 USD.
Trade 5, 6 and 7 I was shorting today open. On two trades I got MFE almost +100 USD to exit B/E. The third was small loss -34 USD.
Trade 8 was just stupid play without any S/R level . Of course the market turned on me with very volatility candle. -64 USD
Trade 9 was trying to buy S/R level, but this was just obvious that the market is too volatile for that. -54 USD.
In summary, just the trade 5 was really correct and good trade due to my rules. Trade 1, 3 were OK. So I should ended with some small loose, instead I stop trading at -380 USD. Cannot imagine to behave like that trading 5 contracts or so.
P/L -380 USD