BIDU was on fire today, even for its OTM Jan calls. I hope you didn't miss the boat.
Quote from NoDoji:
Neke what would make him ask that?
For the record, I just put on a large NEKE Dec 2,000,000 call position. I apologize for betting short of your goal, but I need to honor my risk management rules![]()
Quote from peilthetraveler:
I would like to say good job for last year, but when i did the math for your first two trades (POT & SPY and not calculating the options that you bought which was minimal anyway) and figured what you would've made if you had just bought and held all year, you kind of left alot of money on the table. You closed the year with 502k, but if you had just bought and held, you would've closed the year with about 660k or so (I didnt factor in margin costs in that figure, but assuming 12% per year on 500k of margin and you still come up cashing out end of year with an extra 100k in your pocket.
You made a 57% return for the year and you used what...3 to 1 margin? 4 to 1 margin? The Dow is up 26% from when you started trading on Jan 15 2009. At that rate of margin, you should've been up at least 75% to stay even with the market.
Not saying you did bad though, but just dont pat yourself on the back too much or let others pat you on the back until you are outperforming the market in real terms. It can throw you off if you see you made a huge return in % numbers and dont factor in margin to that play. A trader that makes 25% returns on a cash account is a better trader than one that makes 75% returns on a 4 to 1 margin account. Dont get "Fooled by Randomness"
Good luck next year. If you do take 400k to 4 million by year end this year, you will know you are a good trader (as long as the dow doesnt go to 35,000 by year end, then you would still just be trading alongside the market at 4 to 1 leverage)
Quote from neke:
Why strive for less than my worst percentage performance in the last 5 years? Sorry, I strive to beat my best record!
Opening Balance: 410,000
Net loss for the week -99,486
------------------------------------------------
Net Balance: 310,514
Number of Trades 57
Number of Profitable Trades 29
Since Inception of Thread 01/10/2010 - 01/16/2010
Opening Balance: 410,000
Net loss(Less Margin Interest) -99,486 (Down 24.3%)
------------------------------------------------
Net Balance 310,514
Number of Trades 57
Number of Profitable Trades 29
Top/Bottom Discretionary Trades for the week
TICKER ENTRY DATE/TIME EXIT DATE/TIME QTY PURCHASE AMT SOLD AMT GAIN/LOSS TYPE
PCLN 2010-01-13-10-30-04 2010-01-13-12-38-20 2500 522375 531799 9390 LONG
-------------------------------------------------------
BIDU 2010-01-14-10-07-59 2010-01-14-15-22-18 1000 465000 450605 -14422 LONG
BPJMX 2010-01-14-10-07-26 2010-01-14-15-57-53 31000 147300 46080 -101666 BIDU PUT