Tuesday, September 21, 2010

Tues. 9/21 FOMC Day

2:30pm CDT - Underwater early on a few CL scalps but ZS and FOMC action pulled me to plus side. Biggest mistake was selling the CL break below 75.40 after FOMC and only getting 5 cents when I could have easily gotten 40 more as the knife fell.

Net breakdown (contracts traded):
ZS $152(7), GCL -$87(13)
RESULTS FOR DAY
Contracts:20
Net $P/L:64
Wins:7
Losses:8
Win%:47
Avg$Win:117
Avg$Loss:-94

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