Quote from mschey:
Hey Neke....been watching your progress all year....and I have to say, you gave it one hell of a run. The market has a way of wrecking even the best laid plans. While you may not have hit your target of 500k,you have done an excellent job especially at enduring and persevering through those gut wrenching drawdowns.
Keep up the good fight, you'll get it next year!
Quote from retire45:
Neke,
I beg you next year to use half your account to swing trade a selected list of "clean" stocks that are relatively easy to trade.. You MUST make adjustments like this next year rather than the "I must stick to only great trades" resolution.. why??? Because you won't change.. I suffer the same.. Losses make us refocus.. for only a while. THE ONLY WAY OUT is to program in hard money management stops that do their work without your input...
Quote from sophiekay:
Neke, EXCELLENT returns this year. Your posts were a highlight for many. Question on how you prepare for a new year of trading.
Do you have a planning process where you map out your approach for the year?
And do you apply any lessons learned from previous years?
Quote from neke:
What is your average hold time for a swing trade? I am developing my core set of strategies; for swing trades though (lasting a week on average), I will only do options: that makes it possible not to tie too much capital for that duration.
You're right about tight money management rules: I am developing my own version of stop losses: to be executed automatically by my positions monitor for any open stock position I have.
Balance B/F: 139,346
Net Loss for the week -1,384
------------------------------------------------
Balance C/F: 137,962
Number of Trades 23
Number of Profitable Trades 14
Since Inception of Thread 2/25/2007 - 12/21/2007
Balance B/F: 76,636
Net Gain (Less Margin Interest) 142,326
Cash Withdrawal -81,000
------------------------------------------------
Balance C/F: 137,962 (Adjusted balance before withdrawals is 218962, up 186% )
Number of Trades 1137
Number of Profitable Trades 644
Expected Balance at this time to be on track for Year-End Target :
479,145
Status: Behind Target (Based on adjusted balance before withdrawals)
Top/Bottom Discretionary Trades for the week
TICKER ENTRY DATE/TIME EXIT DATE/TIME QTY PURCHASE AMT SOLD AMT GAINS/LOSS TYPE
AXVLT 2007-12-18-13-01-04 2007-12-18-15-54-31 1200 6480 14400 7882 ISRG CALL
CC 2007-12-21-11-28-01 2007-12-21-15-37-44 20000 96600 100550 3919 SHORT
---------------------------------------------------------------
EPIX 2007-12-18-09-37-08 2007-12-18-09-47-29 8000 42239 36319 -5941 LONG
AAPL 2007-12-17-08-11-09 2007-12-17-13-59-49 1000 190500 184353 -6190 LONG
(Before Interest and Other charges)
TRANSACTIONS ANALYSIS FROM 2007-02-25 TO 2007-12-22
Current Week | Since Inception of Thread
|
Method Gains/Loss No Of Profitable | Gains/Loss No Of Profitable
Trades Trades | Trades Trades
Automated AutoTrade1 0 0 0 | 5652 208 116
AutoTrade2 0 0 0 | 3372 12 8
AutoTrade3 0 0 0 | -4523 3 0
AutoTrade4 0 0 0 | -15301 3 0
----------- -------- ------------ | ----------- ------ ------------
Total Automated 0 0 0 | -10800 226 124
----------- -------- ------------ | ----------- ------ ------------
Discretionary Long -8340 9 5 | -83153 302 177
Short 8150 9 7 | 81831 331 194
Options(long) -1220 5 2 | 154961 278 149
----------- -------- ------------ | ----------- ------ ------------
Total Discretionary -1409 23 14 | 153640 911 520
=========== ======== ============ | =========== ====== ============
Net Totals -1409 23 14 | 142839 1137 644
=========== ======== ============ | =========== ====== ============