P/L 333
forget to short ITMN, bought LDK at the morning dip, sold it at the rebound with 100lot, did pretty good.
shorted gold 1109, covered it at 1102.3, then did several stupid scalpings, ate away big profit, still very nervous with gold's wild shoot/drop.
shorted natural gas after the report at 3.453, covered it too early (breake down play), saw it will print 3.43under, but somehow just write a limit order immediately after I got in, very poor trading.
called it a day since my target is $300~1000, my allowed big daily loss is $500. I normally play breakout, today's market movement does not fit my strategy. somehow looks gold/crude will break up, but it suddenly drops, better leave it after I saw clear signal and make sure money