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Profit/ Loss Summary [ 204.54 starting capital ]:
Feburary: + 642.83 balance: 847.37
March: - 269.57 balance: 389.15
April: - 244.17 balance: 145.00
Total equity as of 4/29 145.00 ( 71.08% loss)
(forex)
After feburary, my trading performance went down the shit hole. I have a few guesses as to why this could have happened:
1. After 3/13/08 on the gbp/usd I continued to play long positions even though the rally was over.
2. I still dont have a solid time frame for my trades. Some times I day trade, and sometimes I have longer term trades. Maybe I need to stick to one or the other?
3. I started adding to losing positions (usually on longer term trades because I felt I had to let the trade "wiggle" some before going higher), convinced I was "right" about the trade.
4. I did a lot of day trading, however in Feburary, most trades were swings, in order to build equity.
5. I would trade 1 lot, and some times 2, because of greed and boredom
............ Time to rebuild
CM69
