Taking 410K to 4million by Year End 2010

Status
Not open for further replies.
Weekly Update for week 41/50 ended 10/23/2010

Tremendous week, up 60K(27%). Giant leap in confidence..

The week was a continuation of the big earnings momentum that started last week with GOOG. This week some of the great momo stocks delivered earnings, and I was just playing long after earnings with options. So bullish was the market that even seeming disappointment from AAPL and AMZN were brushed aside. Every day of the week was positive in my account.

On Tue dabbled a little with AAPL calls in the morning, a mere 17 contracts, after it seemed obvious the market and the analysts brushed aside the weak IPAD sales. Brought when AAPL came down to just above 300 for $5.00 a car, closed when AAPL hit 308 half hour later, sold for $10.00. Thursday went long NFLX calls after their earnings, made 10K there (chased that a bit, since my limit order failed to fill in the early goings before the stock took off). Also caught the SPY dip at 2pm on Thurs, making 6K when the market rebounded (actual max position size was 100 contracts). Fri should have been spectacular had I got my limit hit on CMG and AMZN. Chased CMG afterwards, though decided to hedge a bit shorting RVBD (which I thought was more overbought). Made +25K on CMG and lost 12K on RVBD (covered near the high of the day). Refrained from chasing AMZN, that could have been great as well. Other than RVBD, the rest of the losses for the week were minimal.

Looking forward to good times.


Code:
Opening Balance:                	225,610
Net gain for the week 		         60,469
------------------------------------------------
Net Balance:                   		286,079

Number of Trades	            	21
Number of Profitable Trades    	    	15


Since Inception of Thread   01/10/2010 - 10/23/2010

Opening Balance:                   	410,000
Net loss(Less Margin Interest)		123,921 (Down 30%)
------------------------------------------------
Net Balance				286,079

Number of Trades	           	1140
Number of Profitable Trades        	 610


BREAK-DOWN BY AUTOMATED/DISCRETIONARY

		Number       P/L      Best Gainer	Worst Loser

AUTO             3        -285.00        157.10       -427.30        -95.00
DISCR           18      60,754.40     25,462.90    -12,004.90      3,375.24


TOP/BOTTOM DISCRETIONARY TRADES

TICKER			ENTRY DATE/TIME		EXIT DATE/TIME		QTY	PURCHASE AMT	SOLD AMT	GAIN/LOSS	TYPE


CMGNOV202010195.0CALL	2010-10-22-10-33-22	2010-10-22-14-13-10	5000	39950		65500		25463		CMG CALL
NFLXOCT222010165.0CALL	2010-10-21-09-38-55	2010-10-21-10-44-10	5500	38500		48950		10350		NFLX CALL
AAPLOCT222010300.0CALL	2010-10-19-09-30-19	2010-10-19-10-01-59	1700	8500		16810		8267		AAPL CALL
BIDUOCT222010100.0CALL	2010-10-22-09-30-08	2010-10-22-10-20-52	5000	32150		39012		6775		BIDU CALL
SPYOCT222010115.0CALL	2010-10-21-14-00-04	2010-10-21-15-18-03	17000	42050		48313		5999		SPY CALL
-------------------------------------------------
AAPL			2010-10-18-18-04-12	2010-10-19-09-08-19	250	75824		75041		-798		SHORT
CREE			2010-10-19-16-33-51	2010-10-20-09-42-15	2000	97800		96000		-1816		SHORT
RVBD			2010-10-22-10-44-44	2010-10-22-13-23-35	9000	498568		486614		-12005		SHORT

attachment.php
 

Attachments

Quote from neke:

Weekly Update for week 41/50 ended 10/23/2010

Tremendous week, up 60K(27%). Giant leap in confidence..


Neke, I love it when you break out of consolidation in October! :cool:
 
Well done, Neke, give them hell.

(One question, though, did you really short half a million in RVBD? Was that within your size parameters?)
 
Quote from neke:

Fri should have been spectacular had I got my limit hit on CMG

That's what you get for low-balling em' mexicans. :)
You got incredible trading skills btw! When are you holding free seminars? I'll bring the beers. :D
 
Quote from NoDoji:

Ha ha! My music is first on my project list, been putting it off waaaay too long. There are too many trading books and I believe Al Brooks said there's no money in it. :p

There's no money in writing books if you write like Al! :confused:
 
"Also caught the SPY dip at 2pm on Thurs, making 6K when the market rebounded (actual max position size was 100 contracts)."

So that's the equivalent of $12 million in spy. It's pretty clear that neke is a buy the dip trader with massive options positions . . . when the dips get bot, he does well. When the don't he gets slammed and is faced with a "should I double down" choice.
 
Quote from billyjoerob:

"Also caught the SPY dip at 2pm on Thurs, making 6K when the market rebounded (actual max position size was 100 contracts)."

So that's the equivalent of $12 million in spy. It's pretty clear that neke is a buy the dip trader with massive options positions . . . when the dips get bot, he does well. When the don't he gets slammed and is faced with a "should I double down" choice.

1.2 million?
 
Status
Not open for further replies.
Back
Top