My total for the week (7-21-08 to 7-25-08) is (-6.56%) or (-$1904.67)
Today I had 3 trades, 1 short, and 2 longs for a total of (-1.68%) or (-$490.23). Trades were:
QCOM - Long (-.62%) (-$171.31): I should not have traded this one. I got wrapped up looking at the level 2 qoutes and not the actual chart.

WDC – Short (-1.56%) (-$452.22): Tried my new “10k” strategy on this one, missed the fact that he already had a big run/gap.

JNPR – Long (+.50%) (+$133.30):

My other strategy is doing very well, but I am still undecided when it comes to using it for real. Maybe this is because I took a big loss this week?
No comments:
Post a Comment