Trader P/L 2008

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Terrible day for me - short AAPL, and it popped big on open before finally turning neg.

-12,117

Summary

Jan week 1: -8,700
week 2 +11,000
week 3 +38,200
week 4 +5,800
week 5 +2,800

Jan total +49,100

Feb week 1 +11,100 (feb 1)

Feb 4 +7,542
Feb 5 -12,117

Feb so far +6,525
 
Quote from phlip:

Terrible day for me - short AAPL, and it popped big on open before finally turning neg.

-12,117

Summary

Jan week 1: -8,700
week 2 +11,000
week 3 +38,200
week 4 +5,800
week 5 +2,800

Jan total +49,100

Feb week 1 +11,100 (feb 1)

Feb 4 +7,542
Feb 5 -12,117

Feb so far +6,525

I to was thinking short AAPL at the open, but the price action quickly changed my mind. So, I went long and then shorted near the top to end up.

+1138 (Had to bail 30 minutes into the market to go golfing)

I thought I traded a decent size with 1 to 4K gains a day, but you have me looking like a mouse.

Keep up the great work!
 
+473 for the day, used the futures account to trade stocks, don't want to lose any more in my stock trading account. It seems my marginal edge in stocks has dissapeared, it's time to find a new edge, I'd appreciate any suggestions.
 

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3800 shares/ 29 trades/ 17 cancels...and i feel like the above posters...i left a ton on the table ...perhaps 3 times more...aapl and rimm very weak today...got shaken out of aapl earlier and then tapped it in the afternoon.......peace
 

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