An NYSE Scalper's Tale - A Trader's Diary

Wednesday, May 03, 2006

Sorry For The Absence...

Gross: +$890.00
Net: +$764.77
Loss From Top: $23.38
Trades: 68
Shares Traded: 110400

Stocks Traded Today (net profit/loss):
General Electric (GE): +$296.38
Citigroup (C): +$211.76
Walmart (WMT): +$157.53
JP Morgan (JPM): +$40.49
Pfizer (PFE): +$39.49
Home Depot (HD): +$15.60
Hewlett Packard (HPQ): +$3.48

Sorry for not posting on the 1st and 2nd. I've been terribly busy the last few days and will probably be busy the remainder of the week. I'll have to keep this posting fairly short, so I won't review the good and bad trades.

Hopefully next week I'll be back to my regular schedule.

Anyways, the previous two trading days were not good at all. I didn't really feel the markets and I kept losing my concentration. Monday I was down $653.59. I was trying some new strategies and I was shutdown within 30 minutes of the day. Tuesday I was up only $49.21 - really flat market and I hardly traded at all.

Today was a good rebound from those two days. I woke up this morning well rested and ready to go (unlike the previous two days).

Anyways - here's hoping to a good remainder of the week!


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