Friday, January 4, 2013
1/2/2013-1/4/2013 weekly summary(1383.5-- 1463)
The S&P 500 finishes up 4.6% this week. I was not that lucky since I came back from the vacation on 12/31/12. I missed all the future market drama about the "fiscal cliff".
When I came back and saw ES at 1400 on Monday, I quickly studied the market and bought ES at 1401 and went back to sleep. Since the position was very small and I didn't bother to close it by the end of the day. I also sensed that we might have some new year rally. But I didn't expect 300 pts jump!
Anyway, this week: P&L: $661.
Subscribe to:
Post Comments (Atom)
Hello, Everyone!
I've become a very mature trader after trading in the stock market for 12 years. I've been very focus and only trade E-min futures a...
-
Here is my past performance since I started to write this blog in 2012. I don't remember why I did poorly in 2014. But let bygon...
-
watching the market from now on. I lost my job. They finally closed the local branch. I was offered a pretty good severance package. ...
-
I have been bullish for several weeks and I started with the neutral position and I cut loss on the short position during the week last wee...
No comments:
Post a Comment