Took 2 weeks off from vacation, and then not much was happening when I
got back. I finally started trading again last friday (well, okay, I
bought one stock on Thurs).
This rally is interesting and scary at the same time. Currently I am
taking a shotgun approach. My R value is still $100. I bought a bunch
of smaller stakes that I'm setting stops at %10 on. I've had a few that
I've been shaken out of the last few days.
Current holdings:
green-TIII, SIMC, SKIL, FSII, BMR, SEIC,
red-CTS, PBNY, FUR, FORR, FLAG
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