Thursday, 26 June 2014

Trades 26/06/14


Very patient this am session finding good setup, and with those I applied even more patience ...
Not really making fewer trades, instead trading less size and doing more scalping, until a REAL good opportunity comes along where I can risk more. 
No lunch break today, just scavenged $20 plays here and there, work hard to end up $325
Only really poorly executed trades (emotional) were the $BLDP/$PLUG chases

Just fyi, to see entries and exits, look at the charts blue is a buy and  red is a sell.

Lessons:

  • DON'T CHASE, BUY ON DIPS!!! (RE $PLUG $BLDP)


Trade Highlights:


$POWR +$45 on o/n position
$GLUU two few trades long and short +$116

$OMER short r/g on market weakness +$54

$CSIQ +$58

$TWTR +$16

$IVDN on g/r, covered 1.3 lost my patience with it, low vol drop +$71
$TSL -$12

$HIMX -$15
$YOKU +$33 - made a few trades, first couple were good, rest i tried anticipating a curl up and they didnt work


$BLDP on $PLUG $4 risk -$79 traded it again on $PLUG momo +$40
$MEI long -$112 argh, didnt take profits when i had em, two trades -112 and +30

$IRM -$85 stupid trade, later on went short .62 looking for a nice fade; got it, covered in the 40s, 30s +50


$GPRO +$217 traded it a few times, small size; obv had i held my initial 200 at 29.50 i'd make that in one trade, instead I missed the big am move and had to work hard for it

$ROSG -$49

$QLTI -$24

$PLUG had chased it with size (doh), luckily didn't panic when it looked to g/r, added a few and sold for -$14

$FECL same story as $PLUG -$23
$ISR shorted on a big spike, it tends to fade off +$77

$JMEI on this curl +$29 

$STEM short 2.04 with 2.10 risk 1.90 target, will take o/n

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