So I've noticed that I stopped blogging after 2/27 and didn't post much through March and April. I've only started to post again recently the last week or two. This is also when I started having some positive weeks again.
This worries me because it means I was probably being emotional about trading. I'd like to say it was because I was trading less during that time period, and that's partially true. But I think it's more because I didn't like to look at how my account balance was down.
I think I managed not to lose too much, though. I lost 10% on OFI, but it was only 1R. HWCC also gapped down and I lost 10%, but it was 2.5R. There were many others, but they were smaller. On the IRA side, I lost 1.5R on TM for 11% (that was two combined losing trades on it) and 1R 11% on WFR, which gapped down after earnings. A few others, but they were all much less than 1R. So I think I've made some progress in that department.
So here's what I have right now:
izone account:
MVIS +26%
NVTL +15%
PTNR +2%
TU +2%
GTI +1%
IRA:
ILF +14%
USO -7%
VIP +4%
AAPL +35%
MTOX +22%
BGC +3%
ARGN -1%
MICC -3%
MR -2%
Wednesday, June 06, 2007
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