Trader P/L 2006

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<b>ES 54 contracts traded, three round turns, -2pts, -$5,400</b>

Tried to short below R1 failure this morning and again below pivot point failure... fills missed to the exact tick each time.

Trade #1 short stopped at 0
Trade #2 short (past 1:00pm) stopped at -1pt
Trade #3 long stopped -1pt

Missing fills in the morning made/broke the day's results. Last two sessions have been power moves inside first hour, then coil & slam patterns for the duration.

All or nothing extremes in the tape right now... either catch the fleeting entries ahead of surge moves or miss out. Simple as that :>)

Best Trading Wishes

[Edit] six minutes after last -1pt stop was hit, ES explodes on buy programs. Now up +9pts from entry and soaring. It's all about holding into program slams these days. FOMC minutes at 2:00pm tomorrow... same probable pattern
 
-52.60
8400 Shares

I became frustrated early by being shaken out of eventual big movers. I then churned and churned until I was down 225. Then I got some good movers in the rally and made back most of my money. I would like to be positive, but I'm much happier than I was 2 hours ago. Too bad I only have good runs of 100-200 bux when I'm making back lost money. Obviously, I have some pschological barriers to deal with.
 

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