Tuesday, April 11, 2006
Monday 4/10/06...Start of a New Week
The first set uo was an HOLP at about 10:45. Went long at 1304, took pp @ 1305 and moved stop up to be @ 03. Stop was moved up systematicly to 04, 05, 06, & 6.50. The runner was stopped out at 1306.50 at 12:43. +3.5 total.
The next trade was a doldrums bond trade at 12:07. Short at 107 31. exited trade at profit target of 107 24 @ 1:27, +4 ticks. (Note: could have then bought 107 25, taken about 3-4 ticks of heat, then exited at 08 around 2:30ish for another bond ching).
Trade 3 was a HOLP long @ 1303.50 at 2:09. This one was stopped out @ 1301.50 at 2:28. -2 points.
Last trade was a 3:52 reversal. Went short at 1304.75, took pp @ 3.75, exited trade at time limit at 1305.25. net +.5
Overall a good day & good start to week. HOLP/LOHP signals continue to look good. Teq & I actually missed 2 that would have been winners. Will keep working them.
etr
The next trade was a doldrums bond trade at 12:07. Short at 107 31. exited trade at profit target of 107 24 @ 1:27, +4 ticks. (Note: could have then bought 107 25, taken about 3-4 ticks of heat, then exited at 08 around 2:30ish for another bond ching).
Trade 3 was a HOLP long @ 1303.50 at 2:09. This one was stopped out @ 1301.50 at 2:28. -2 points.
Last trade was a 3:52 reversal. Went short at 1304.75, took pp @ 3.75, exited trade at time limit at 1305.25. net +.5
Overall a good day & good start to week. HOLP/LOHP signals continue to look good. Teq & I actually missed 2 that would have been winners. Will keep working them.
etr