Trader P/L 2010

+41.00


ET Daily P/L so far (trying to post every day without exception)...

8-19-10...+$227.55
8-20-10.....+$46.60
8-23-10.....+$48.60
8-24-10...+$180.40
8-25-10.....+$78.10
8-26-10...+$108.85
8-27-10.....+$65.43
8-30-10.....+$32.85
8-31-10.....+$38.55
9-1-10.......+$38.21
9-2-10........-$99.39
9-3-10.........+$1.24
9-7-10.....+$113.39
9-8-10......-$233.69 (order-entry glitch)
9-9-10.......+$91.82
9-10-10...+$186.27
9-13-10...+$321.91
9-14-10....-$132.81
9-15-10......-$41.32
9-16-10...+$412.34
9-17-10...+$151.25
9-20-10.....+$41.00
9-21-10.....+$44.24
9-22-10.....+$40.76
9-23-10.....+$71.13
9-24-10.....+$80.53
9-27-10...+$116.49
9-28-10.....+$70.20
9-29-10...+$236.51
9-30-10.....-$96.00
10-1-10...+$444.20
10-4-10.....+$51.20
10-5-10...+$433.55
10-6-10.....+$92.32
10-7-10.....+$41.00

ugh
 

Attachments

After a losing streak ( 4 red days in a row ) this feels good. I traded very protective and small today so the commissions are a bit out of proportion. At some point I even scaled in and out with 25/50 shares.

Gross $84
Nett $1 on 10K shares
 

Attachments

Yesterday's blotter, a great day (in comparison to wednesday). Both longs and shorts did great this time around.

1007: +$1509.
 

Attachments

+200.31


ET Daily P/L so far (trying to post every day without exception)...

8-19-10...+$227.55
8-20-10.....+$46.60
8-23-10.....+$48.60
8-24-10...+$180.40
8-25-10.....+$78.10
8-26-10...+$108.85
8-27-10.....+$65.43
8-30-10.....+$32.85
8-31-10.....+$38.55
9-1-10.......+$38.21
9-2-10........-$99.39
9-3-10.........+$1.24
9-7-10.....+$113.39
9-8-10......-$233.69 (order-entry glitch)
9-9-10.......+$91.82
9-10-10...+$186.27
9-13-10...+$321.91
9-14-10....-$132.81
9-15-10......-$41.32
9-16-10...+$412.34
9-17-10...+$151.25
9-20-10.....+$41.00
9-21-10.....+$44.24
9-22-10.....+$40.76
9-23-10.....+$71.13
9-24-10.....+$80.53
9-27-10...+$116.49
9-28-10.....+$70.20
9-29-10...+$236.51
9-30-10.....-$96.00
10-1-10...+$444.20
10-4-10.....+$51.20
10-5-10...+$433.55
10-6-10.....+$92.32
10-7-10.....+$41.00
10-8-10...+$200.31
 

Attachments

Started scaling in and out very small today but as the day continued I almost got back to my full position size. The 2 big losers were short setups which would have worked but the entry was bad on both of them. Got a bit sidetracked with the charts. Besides those 2 errors it was an OK day. Also taken some nice notes to adjust my rules when trading.

I'm happy that i didn't hit the max daily loss this week. Next week it remains $100 for the day. I will give the setups more room as i get stopped out about 3 out of 4 trades before my entry hits. I've reviewed my trades and a lot of them worked very well later in the day so some work in progress along the way. I'm switching from broker next week, so I expect to be going into Sim-mode for a day of two.

Have a good one! :)


Gross $226
Nett $14 on 41K shares

Week total

Gross $100
Nett -$585 on 122K shares
 

Attachments

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