Update
Day traded the ES long (worked) and the ZB (T-bond futures) short (stopped out). I'm down on the day, however, as I had shorted more bonds than I got long stocks. Nothing else too interesting to report on my end, but I find it noteworthy that stocks like MOS are down over 75% from the June highs, and we repeatedly have 50+ point ranges each day in the S&P 500. Keep it tight with smaller sizes and wider stops, or the volatility will get ya.
Trading accounts equity less than .5% from all time highs set on 10/06/08. (includes open positions)
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