Feb 3

Sunday PM: 1st trade good. Wasn’t at computer for 2nd trade so wasn’t watching. Let +.4R turn into -.5R when it was clear it wasn’t moving in my direction.

Monday AM: -.5R in SI. SFP took form but I didn’t wait for bar to close and more importantly, was too big so couldn’t put my stop where I should’ve based on ATR. Mistake

+1R in GC. Trading my P/L way too much in this one, trying to get perfect average. Didn’t hold till target (2R) which hit. Mistake.

Dumb mistakes in CL and ZS cost me 2k for no reason, took a good day to down day.

AM: 0

PM: +1500

Day P/L: -500

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