Quick session - just sold my o/n positions and made one poor short on $PTRA and one long on $PRAN. Holding tiny $CRMD which I might swing if it stays red
+566
Update:
Added $140 on $VBLT
Trades:
$PRTA took a gamble last night with 100sh at 37.99, sold this morning 41-43 for $4 gain
$AXMM took a long position at 1.56 yesterday and held o/n expecting a gap up
$PRAN bought some as $BIIB sympathy; this is the kind of trade I intend to start avoiding, just because someone (while being a respected someone) says he's long, not a good enough reason for me to go long
P&L:
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