Friday, April 29, 2011

QM +40

SHORT QM 114.10


+40

1/1

55/67 Winners


TOTAL:
NQ TOTAL: 2940
QM TOTAL: 4250
MONTH: +$7,190

ES +6.50 Scalp

I was long ES 1351.50 exited 1357

I had to use es because I am short NQ on a swing 240

That was + 16.25 NQ conversion

{
[4/28/2011 10:18:12 AM] xxx: short nq 2404
[4/28/2011 10:18:21 AM] xxx: tgt 2388
}

1/1

23/25

QM +110

I made +110 on a long

I was long 2x and got stopped be

1/1
1 b/e

54/66 Winners

Wednesday, April 27, 2011

Monday, April 25, 2011

QM +105

Man I nailed oil again

Went long after a nice selloff and made a cool $105

1/1


52/64 Winners

QM +75

I covered my swing short from last week thursday!

110.50

added this morning when oil hit 112.90

added 112.80

exited +75 avg

Note: Another trap up trade!! need to work on this!!

51/63 Winners

QM +232

I made +1.16 on a long CL 111.73 and got out 112.89

I made x2 because CL is 1000 per pt!

+232

50/62 Winners

NQ +20.75

I went long friday

It didn't look like it wanted higher but it finally went higher

2371 first entry
2368.25 add

tgt 2380

they hit my # after 4am monday morning

Sweeet!!!

21/23

Wednesday, April 20, 2011

QM +45

Today I made +45 on qm

Took a long and got stopped 109.40

Took another long at 109.30 tgt 109.80, kept longer and got out at 109.925

Went short 109.525 and added got stopped -10 on add at 109.70.


1/2
1 be

49/61 Winners

NQ +52

Man destroyed NQ today

I went long 2344 x 2 lots

and got out at 2370

+26x2 = +52

20/22

Tuesday, April 19, 2011

NQ +29

Man, killed NQ

Crash due to Bonds downgrade on US notes from s&P

I bought it!

rallied back hard

Made +29

Note: On first entry is probe, 2nd should be validation! I need to take my time and add properly! My avg was 2370 but I could have add a much lower avg if I didnt add so quickly!!

19/21

Monday, April 18, 2011

QM +57.50

1/1

+57.50

48/59 Winners

NQ +8.75 scalp

[10:24] [10:01:41 AM] marlon: short nq 2300
[10:24] out +3
[10:25] [10:19:24 AM] marlon: long nq 2297.25
[10:32] out +5.75
[10:32] 2/2
[10:32] +8.75 for day

2/2

1b/e near close


Thursday, April 14, 2011

NQ +32.25 scalp

11:45] long nq 2288
[11:47] cover +15
[11:48] short 2304
[11:48] cover +6
[11:48] +21 for day 2/2
[11:48] long 2296
[12:03] out +4
[12:04] +25 for day
[13:25] out 2297.50
[13:25] +2.50
[13:26] +27.50 for day 4/4
[13:47] long 2297.25
[14:30] out 2302
[14:30] +4.75
[14:32] vn +32.25
[14:32] 5/5

QM -165

I lossed -165 on oil

I was long 3x on a trap crash!

Oil crashed due to middle east situation died

long 111.45

added 110.45

added 105.80

out -165

Heh!
Barely got out!

47/58 Winners

Wednesday, April 13, 2011

QM +130

Man tough day

Keep entering too soon because my scaling is set to FiXED! when I put it on dynamic I was able to see the flow better!

+60
-20
-20
+110

2/4

47/57 Winners

NQ -13 scalp

Today i lossed because I went back to my old strategy and I must admit I am a bit rusty! Need to perfect this old strategy and get my into the rythem!!

-2
-13
+2

arg!

Oil Prediction chart






Here are two charts for my prediction on oil selloff
Massive sell in may after april consolidation

NQ +40

I went long at 2290 yesterday, came in and jp morgan reported good earnings. It brought nq up to 2310. I took +20 x 2 contracts + 40 nq


18/20

Tuesday, April 12, 2011

Forcast for April-May

I see oil selling 22% into may.

Last week of may or first week of june will be the the low

The high is CL 113 so a selloff should be around CL 90.00 the absolute low.

I expect oil to sell for 6 weeks straight!

I also see USO to 36.00 area

NQ -5.0 scalp

I lossed -5.0 scalp on NQ long yesterday!!

:(

ES -5.0 scalp

Lossed 5.00 on scalp

QM -10

I went long and I am stucked long


First entry was 111.45, next add was 110.45

I had taken a long and was stopped -10

0/1

Still in

45/53 Winners

Out Hedge ES +0

I took 1306.00 b/e stop

I was using hedge to infinity because didn't trust market action to head to new highs.

I was worried so I never took profits until it it went all the way in my favor to max up at around 1339 area.

Should have taken profits but wasn't sure market was going to fall! Need to do more daily analysis on holding and getting rid of hedges!

NQ -81

I lossed -81 on NQ this time because I went short at 2264 avg. I had 3 contracts and kept holding, I was hedged on ES but got stopped out hedge on the way down. I took a loss of -1620 on this trade and b/e on hedge!

This trade occured because I reshorted without a clear short signal from my system. I had made +20 and reshorted the same area 2x. Never reshort the same area unless you see market is stucked in a range. I had this position for a long time.

This trade was motivated by greed to hit my pivot to the T.

17/19

Monday, April 11, 2011

QM -310

I lossed allot because I did a foolish trade

0/1

I kept this short avg 109.70 (2c) since thursday and held on because I thought it would come down but did not because of high demand that never died, it kept overnight and rose early friday morning to continue rally on friday afternoon. The retracement down came sunday and I am out. I totally screwed up on holding. I broke my discipline. Need to install a MAX 1.00 stop loss on any trade!

45/52 Winners

QM +45

I made +45 on 1/1 Friday

45/51 Winners

Thursday, April 7, 2011

QM +205

Biggest day ever

+205

3/3
2 b/e

44/50 Winners

STUCKED ROLLOVER

IShorted 2x towards end of day and GOT raped! and need avg of 109.60 area to b/e

Will roll this looser into tomorrow!

Wednesday, April 6, 2011

QM +165

+165 QM

another easy day

4/5 trades, 1 minor quick loss due to spike down -0.20 on early entry

2 b/e -

a -0.05 tick, and another 0.0 gain


41/47 Winners

Friday, April 1, 2011