Trader P/L 2006

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Very patient today. Waited for decent oppourtunity to trade and my ratio reflects less churning. Got hit for 560 with about 20 mins to go and couldnt get it back. A little more risk aversion and i wouldnt have lost much. Overall im satisfied.
 

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-$571 on 5900

First day I got to trade in a week. Started trading about 2:30. Chugging along and got few hundred shares of CERN. It looked like it had a nice dump today and if you look at the chart, seems like it could be drying up. Well, I look down to finish up some homework, and when I look back up at the tape, someone was taking dookie after dookie. I could count at least 10 transactions with 1100 shares+ seemingly dumped at market!

Well, like the pu$$y that I am, I jumped out at the bottom only to get back in .20 higher. Recovered about 200 bucks in the two subsequent trades, but hello fuzzy. Even if hadn't recovered the $200, I missed about $200 by getting out at the bottom, and I'd still be down $350!

At least its nice outside!
 

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