Trader P/L 2005

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Really bad day shockingly finished up. Made no money at almost everything all day, but was saved by some gimmick trading at the bell.... whew.
 

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+ 1282.40 Lots of trades today. Long and short.
Waiting for another big $$$ up day like last Wed.

How were opening orders today? My trades to fade the(close to open) gap did not close as quickly as expected...
Just curious.
 

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Pre-market oil action and some AM flux on the indices today . . .
hit daily trade/profit targets, leaving me at +2025, and done.
 
slippage on the SPI & ES, left an insane amount on the EURO table, switched from ESTX50 to the FTSE100 because ESTX50 limps around like a interest rate contract. hestitated and missed a good trade in the ER2. frustrating day. switched to unbundled pricing today.


-$82.90
 

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mercurial, openings were down yesterday as i had lots of shorts that were immediately down and i was unable to trade out of them profitably. overall accross all accounts i finished -600 yesterday, because of the bad opening.
patrick
 
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