Jan 30

AM: -1.2R in ES overnight. I’m not trading at night overnights anymore. Simple, hard rule because I come into the next day not 100%, feeling the need to get back to 0 and forcing trades.

-.3R in CL. Bad trade. I don’t have enough risk left in the day to take this

+.6 in SI. Very good. Tight stop due to lowered risk. Waited for inverse price to be hit and saw selling before entry.

-.6R in CL. Again, very poor sizing. Not adjusting to volatility and either playing much smaller or being way less aggressive on entries.

PM: Due to other dumb trades when I was trying to force it, I hit my max stop and wasn’t able to trade in the afternoon. This greatly takes away from my EV and hurts me terribly in the long run.

AM: -1.5R

PM: 0

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