Up until this week, I am up around 11k in stocks, but lost about 3k in options. The FDX, UPS, and EBAY blow-up hurt hard. Might take a rest in options. Testing futures in January. For the last week, I was playing CC, JST, CVS and a few others; those were pretty good. Bt I am down a couple of hundred on ALY, JST (just bought again today, third time in a week),and a few others. I think the low volume hurt this week. Prob. going to take a break on this week; however, it is going to be a very boring week if I don't play in the market... Especially when I was on a two week winning streak. This week, just the dogs...