Trader P/L 2009

was off to a great start.....then I kept shorting and shorting......have no clue what I was thinking..........was able to get back to green though small.

+300
 

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2 losers today and they were both covered just about at the exact top. Oh well, that's risk management I guess.

Tweaked some parameters yesterday morning, due to realizing I've been way too cautious lately. Without those adjustments I figure the p/l would be around 80 bucks for the last 2 days.

+477 today. Took a lot of liquidity today and the fees are 60 bucks on 12200 shares. Ouch.
 

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+ $486

Very satisfied to have taken most of my signals today (missed a couple due to lunch and bathroom; decided I need a vending machine next to me and a port-a-potty under me) :p

If you look at a 3-min chart of HANS in the middle of the day, I was at the top and bottom of that BIG RED BAR (short 36.51, cover 36.15). If only every trade were that easy!

Holding unrealized loss on ORLY, had no IB access to take nice profits this morning, and crazily held my Etrade portion of the position. However, the daily chart now has short written all over it, so we'll see what transpires. (Hermit, think good thoughts, OK?)
 

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Daytrading is getting more and more stressful for me,thinking of cutting down and continue swing and position trading,thats where money is with lot less stress more time for sports and other activities.Traded only 2 round trips short PLL.+$139:confused: :(
 
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