1:35pm CDT - Technically, today I should have been down $3400 before ending the day down $2000. But instead, I moved my target and got out for a gain on one big loser (trade 5). My plan does not call for moving stops or targets but after the past 2 days of live trading, I’m going to revisit this. This may introduce a degree of “optimization” to my system but that's okay, as long as I don’t overly optimize as I have done in my past.
Net breakdown (contracts traded):
ZS $1076(24), NQ $170(4)
| RESULTS FOR DAY |
| Contracts: | 28 |
| Net $P/L: | 1246 |
| Wins: | 5 |
| Losses: | 3 |
| Win%: | 63 |
| Avg$Win: | 503 |
| Avg$Loss: | -423 |
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