This is just sad. I picked the bottom in the EURO to go short and I did that twice in the steels. On top of that, I did not take my setup in OIL that would have made a lot more than my losses. So I am regressing to my old trading style of selling new lows in the middle of the day and being eaten alive by the volatility. I suck right now.
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No Big Mouth stocks today.
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The Numbers:
Stocks: gross -276 net -288 shares 2400
Stocks Futures: none
Forex: gross -60 net -65 contract 1
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