3:20pm CDT - Well I can't blame my broker today as they are back to near normal with only a small freeze up a half hour after open. I decided to up size a little today and traded mostly 2 lots and a few 4 and 5 lots. The results? Not so good... Mostly because the non-farm payrolls action faked me out big time and my short, stopped out at 1009, hit me for an early $380 deficit.
I'll admit that trading larger size to battle back from a loss is something I do regularly. It's not always pretty but it works more times than not. Discipline is required.
Looking forward to 3-days off!
RESULTS FOR DAY |
Contracts: | 41 |
Net $P/L: | 118 |
Wins: | 7 |
Losses: | 5 |
Win%: | 58 |
Avg$Win: | 92 |
Avg$Loss: | -105
|
No comments:
Post a Comment