Day Trading Log
I'm not too sure what I'll do with this section; it's a personal log for now.
I'm paper trading using a homemade "cheatproof" real-time logging software at the moment while I polish up my strategy. I'm trading CFDs at GCI Financial with a $1000/day objective.
Monday, April 6, 2009
Net Paper P&L: $-600 (Bad day, but no need for concern.) Caught 0% of $2150
Friday, April 3, 2009
Net Paper P&L: $-1480 (Horrible, market jumped or execution errors?) Caught 0% of $0 Week performance: $-2120, 0% of $14,460
Thursday, April 2, 2009
Net Paper P&L: $-400 (Break-even negative) Caught 0% of $13,220
Tuesday, March 31, 2009
Net Paper P&L: $-240 (Break-even negative) Caught 0% of $0
Monday, March 30, 2009
Net Paper P&L: $0 (Break-even positive) Caught 0% of $1240
Friday, March 27, 2009
Net Paper P&L: $770 (Good day, near objective) Caught 35% of $2210 Week performance: -$500, 0% of $29,560
Thursday, March 26, 2009
I need Nasdaq TotalView. There's no way GCI's head fake in MS was reflected in the underlying prices. I'm starting to remember why I distanced myself from day trading CFDs last year. Performance today? Something like -$1000 I lost count.
Wednesday, March 25, 2009
Net Paper P&L: $-2110 (Horrible, market jumped or execution errors?) Caught 0% of $500
Tuesday, March 24, 2009
Net Paper P&L: $965 (Good day, near objective) Caught 6.8% of $14,150
Monday, March 23, 2009
Net Paper P&L: +870 (Good day, near objective) Caught 6.4% of +13,700