Today I had 2 trades which were all shorts, and all gains for a total of (+2.83%) or (+$785.51). Trades were:
MON - Short (+1.71%) (+$473.15): 10k strategy, covered because MFI was oversold and I figured it was due for a pull-back. My original stop-gain was $110.56
FSLR – Short (+1.12%) (+$312.36): 10k strategy, covered because we are going down to Breckenridge + it maybe done going down. I would have gotten trailing stopped out @ $272.26 if I hadn’t gotten out where I did.