DATE
GOAL FOR THE DAY
GRADE
10/1
LONG @ 1153.50 @ 9:36, WE ARE RIGHT AT SUPPORT AT THE E PERIOD HIGH FROM YESTERDAY, MY STOP IS 1150, THE LOW VOLUME LINE IN YESTERDAYS PROFILE. SELLING SO FAR IS LIGHT, THE TICK IS MOVING TOWARD THE ZERO LINE, THE XLF LOOKS TO BE DOJI'D, WE ARE GETTING TWO SIDED TRADE DOWN HERE IN THE 1151'S THAT MIGHT NOT BE GOOD, STOPPED OUT LOSS 350 PTS, ALMOST TO THE TICK, LONG @ 1150.50 @ 9:40, MY STOP IS 1149, PASSIVE BUYING OCCURED ALL THE WAY DOWN TO THE 1150'S, MOVING MY STOP UP TO 1151 @ 9:44, OUT @ 1156 @ 9:51, THE XLF AND THE ES DOJI'D, GAIN 550PTS, LONG @ 1154.50 @ 9:55, MY STOP IS 1152, THE XLF DOJI'D AND PASSIVE BIDS SITTING AT THE 1153'S, OUT @ 1156.50 @ 9:58, PASSIVE SELLING IN THE 57'S, AND THE ISM IS COMING OUT AT 10:00AM, GAIN 200 PTS, LONG @ 1146 @ 10:07, MY STOP IS 1144, PASSIVE BIDS AT THE 1145'S, THERE IS A VOLUME CLUSTER IN YESTERDAYS PROFILE IN THE 1143-1145 AREA. SELLING VOLUME IS DRYING UP ON THE RETEST TOWARD THE 1144'S, THE XLF DOJI'D, PASSIVE SELLING CAME IN AT THE 1148 LINE A MINUTE AGO THAT SENT US BACK TO RETEST THE 1144'S, MOVING MY STOP UP TO 1148 @ 10:22, OUT AND REVERSE @ 1150.50,GAIN ON THE LONG 450 PTS, THE ES AND THE XLF DOJI'D AND GREEN VOLUME DELTAS ARE DECREASING, PASSIVE OFFERS ALSO SITTING IN THE 1151'S, NOW SHORT @ 1150.50, MY STOP IS 1152, MY TARGET IS THE B PERIOD LOW IN THE 1143'S, THE XLF IS DIVERGING TO THE UPSIDE, THERE IS TWO SIDED TRADING HERE IN THE 1150'S, STANDING BY, OUT @ 1147.25 @ 10:40, PASSIVE BIDS AT TEH 1146'S, AND THE TICK DOJI'D AT THE 2ND SD BTM, GAIN 325 PTS, LONG @ 1145.50 @ 10:53, WE TOOK THE B PERIOD LOW OUT BY A TICK, THE SELLING DELTAS ARE LIGHT, THE TICK IS GREEN AT THE 2ND SD BTM AND THE XLF IS DIVERGING, PASSIVE BIDS CAME IN IN THE 1145 LINE BEFORE WE BROKE THE B PERIOD LOW BY A TICK, MY STOP IS 1144, OUT @ 1147.50 @ 11:01 AND REVERSE, THE ES DOJI'D, AND THE VOLUME IS NEGATIVE, THE XLF IS STALLED AS THE DIVERGENCE ISNT AFFECTING THE ES, GAIN 200 PTS, NOW SHORT @ 1147.50, MY STOP IS 1149, MY TARGET IS A NEW LOW MAYBE THE D PERIOD LOW FROM YESTERDAY IN THE 1140 AREA, THE TICK IS MAKING LOWER HIGHS, PASSIVE BIDS ARE COMING IN AT THE 1145'S THOUGH, STANDING BY, OUT @ 1145.50 @ 11:12, WE TOOK OUT THE C PERIOD LOW BY A TICK AND THE XLF AND ES DOJI'D, THE MARKET IS STUCK, SCALP MODE, GAIN 200 PTS, LONG @ 1146.50 @ 11:12, MY STOP IS 1144, MOVING MY STOP UP TO 1150 @ 11:30, THE TICK IS MAKING HIGHER LOWS AND GREEN DELTAS ARE COMING IN, MOVING MY STOP TO 1152 @ 11:45, OUT @ 1154 @ 11:46, THE ES DOJI'D AS DID THE XLF, THE BUYING DELTAS DISSAPPEARED, THE TICK IS MAKING LOWER HIGHS TOO. WE ARE ALSO RIGHT AT A LOW VOLUME AREA FROM THE B PERIOD IN TEH 1154-1157 AREA, GAIN 750 PTS, ONE MORE TRADE WHILE I GET READY, SHORT @ 1155.25 @ 11:51, PASSIVE SELLING IN THE 1155'S, IN THIS LOW VOLUME AREA I SPOKE ABOUT, THE TICK IS MAKING LOWER HIGHS, AND THE VOLUME IS LESS GREEN UP HERE, MY STOP IS 1158, MY LIMIT EXIT IS 1149.50, OUT @ 1154 @ 12:10, PASSIVE BIDS COMING IN AT THE 1153'S, SELLING DELTAS ARE DRYING UP, GAIN 125 PTS, LONG @ 1155 @ 12:15, MY STOP IS 1153, THE TICK IS MAKING HIGHER LOWS ON THE RETRACEMENT DOWN TO THE 1153'S, AND PASSIVE BIDS IN THE 1153'S, MOVING MY STOP UP TO 1156 @ 12:16, UP TO 1159 @ 12:17, THE XLF IS BREAKING HIGHER, THERE HAS BEEN A DIVERGENCE ALL DAY, FINALLY SOME FOLLOW THROUGH IN THE ES. BUYING DELTAS ARE INCREASING, STOPPED OUT GAIN 400 PTS, LONG @ 1159.25 @ 12:29, MY STOP IS 1158, A GOOD BIT OF PASSIVE BIDS IN THE 1158'S AFTER SOME TWO SIDED TRADE, NEWS THAT SOME PRIVATE EQUITY IS BUYING ASSETS ALSO. THE TICK IS MAKING HIGHER LOWS. MOVING MY STOP UP TO 1164 @ 12:34, THE XLF IS MAKING HIGHER HIGHS, DAMN I AM GETTING HUNGRY, BUT WE ARE TRENDING NOW, STANDING BY, YESTERDAYS CLOSE WAS IN THE 68'S, IF THAT DOESNT OFFER RESISTANCE, THE 1179 IS THE NEXT STOP, THE H PERIOD HIGH FROM YESTERDAY.OUT @ 1167 @ 12:38, WE JUST HIT YESTERDAYS CLOSE, GAIN 675 PTS, LONG @ 1166.25 @ 12:41, MY STOP IS 1165, PASSIVE BIDS IN THE 1165'S, REVERSE @ 1165.50 @ 12:45, LOSS ON THE LONG 75 PTS, NOW SHORT @ 1165.50, MY STOP IS 1168, THE ES DOJI'D AND BUYING DELTAS ARE NOW NEGATIVE, MY TARGET IS THE G PERIOD LOW AT THE 1160 AREA, THE TICK IS MAKING LOWER HIGHS AT THE HIGHS HERE, DAMN, PASSIVE BIDS IN THE 1165'S CAME IN, STOPPED OUT LOSS 250 PTS, LONG @ 1168 @ 12:50, MY STOP IS 1167, BUYING DELTAS COMING IN, A LOT OF BIDS IN THE 65'S IS SUPPORT, THE XLF IS CONTINUING AS IS THE TICK MAKING HIGHER HIGHS, MOVING MY STOP UP TO 1169 @ 12:52, THERE IS RESISTANCE UP IN THE 1173-74'S, FROM YESTERDAYS PROFILE, OUT @ 1172 @ 12:50, GAIN 400 PTS, A LATE ENTRY, I SHOULD HAVE REVERSED UP AT RESISTANCE IN THE 72'S, BUT STEPPED AWAY FOR A MINUTE, THE TICK IS REVERSING AT TEHE 2ND SD ATM, RIGHT AT THE VOLUME CLUSTER FORM YESTEREDAYS PROFILE I SPOKE ABOUT INTHE 73-75 AREA. SHORT @ 1168.25 @ 1:04, MY STOP IS 1171 , MOVING MY STOP DOWN TO 1170 @ 1:05, DOWN TO 1166 @ 1:13, DOWN TO 1165 @ 1:25, OUT @ 1162.75 @ 1:29, PASSIVE BIDS SITTING IN THE 1161'S GAIN 550 PTS, DAMN GOT OUT TO EARLY,TRADING THE 56'S NOW! OH WELL, GOING TO LUNCH YES, GOING TO LUNCH, GOOD TRADING TO YOU. SHORT @ 1170.50 @ 2:56, MY STOP IS 1173, THE XLF AND THE ES DOJI'D AND THE TICK IS MAKING LOWER HIGHS, WE TOOK THE G PERIOD HIGH OUT BY JUST A TICK, MOVING MY STOP DOWN TO 1167 @ 2:58, THAT WAS A QUICK BREAK, OUT @ 1165 @ 3:04, PASSIVE BIDS AT THE 1163 AREA, THE SELLING DELTAS ARE DRYING UP, THE TICK IS MAKING HIGHER LOWS, GAIN 550 PTS, LONG @ 1164.50 @ 3:06, MY STOP IS 1162.50, WE ARE RIGHT IN THE BOTTOM OF THE UPPER VOLUME CLUSTER THE 1159 IS BETTER SUPPORT, BUT THE SELLING DELTAS ARE DRYING UP AND THE XLF LOOKS TO BE TURING GREEN AS IS THE TICK.MOVING MY STOP UP TO 1167 @ 3:14, STOPPED OUT GAIN 250 PTS, LONG @ 1163 @ 3:17, MY STOP IS 1161, PASSIVE BIDS SITTING AT THE 1162 LINE, THE TICK IS MAKING HIGHER LOWS, SELLING DELTAS ARE LIGHT. EXPECTING A ROTATION BACK TOWARD THE HIGHS, THE 1159 AREA IS SUPPORT AT THE LOWER END OF THE UPPER VOLUME CLUSTER.OUT @ 1165 @ 3:39, THE MARKET SEEMS STUCK. GAIN 200 PTS, LONG @ 1164.25 @ 3:42, MY STOP IS 1162, THE TICK IS STILL MAKING HIGHER LOWS, THE XLF IS ALSO, EXPECTING A ROTATION BACK TOWARDS THE HIGHS. OUT @ 1166.25 @ 3:46, PASSIVE SELLING IN THE 1167 LINE, THE MARKET IS AGAIN STUCK, GAIN 200 PTS, LONG @ 1164.25 @ 3:52, PASSIVE BIDS SITTING IN THE 63.75-64 AREA, MY STOP IS 1162.50, MOVING MY STOP UP TO 1165 @ 3:59, STOPPED OUT ON ERRATIC VOLUME NEAR 4 PM, GAIN 75 PTS. LONG @ 1166 @ 4:01, MY STOP IS 1164 , MY TARGET IS YESTERDAYS CLOSE IN THE 1170 AREA. MOVING MY STOP UP TO 1169 @ 4:13, OUT @ 1170.75 @ 4:14, GAIN 475 PTS, THATS IT FOR ME TODAY, GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 5900 PTS
10/2
LONG @ 1153.50 @ 9:35, WE ARE RIGHT AT SUPPORT AT THE I PERIOD LOW FROM YESTERDAY, MY STOP IS 1152, STOPPED OUT LOSS 150 PTS, THE NEXT AREA OF INTEREST FOR SUPPORT IS THE 1149.50 AREA, A LOW VOLUME AREA, LONG @ 1150.50 @ 9:41, MY STOP IS 1147.50, STOPPED OUT LOSS 300 PTS, THE 1119 AREA, THE CLOSE FROM THREE DAYS AGO ON 9/29 MIGHT BE THE DESTINATION TARGET, A GOOD AMOUNT OF SELLING, SHORT @ 1147 @ 9:51, A BIT OF PASSIVE SELLING IN THE 1148'S, MY STOP IS 1149 , THE XLF IS NOT FOLLOWING THE ES, PASSIVE BIDS IN THE 1141'S, THE 1139-1141 AREA IS A BIT OF LOW VOLUME AREA FROM 9/30 B PERIOD PROFILE, THE SELLING DELTAS ARE ALL RED THOUGH, STANDING BY~~MOVING MY STOP DOWN TO 1144 @ 10:04, THE TICK IS WEAK ONLY GOT UP TO +200 TWICE! MOVING MY STOP DOWN TO 1141 @ 10:10, STOPPED OUT GAIN 600 PTS, SHORT @ 1142.25 @ 10:17, MY STOP IS 1144, PASSIVE SELLING IN THE 1143 AREA AND THE TICK HIT +400 AND REVERSED.OUT @ 1137.75 @ 10:28, WILL REENTER GAIN 450 PTS, IT SEEEMS THAT WE ARE TRENDING BUT THE XLF IS NOT FOLLOWING, MUCH MORE SELLING THAN BUYING AND THE TICK IS WEAK, SHORT @ 1138 @ 10:31, MY STOP IS 1140, STOPPED OUT LOSS 200 PTS, SHORT @ 1139.50 @ 10:36, MY STOP IS 1142, THE TICK HIT +400,WHERE IT DID ON THE LAST MAIN UPTICK AND REVERSED, THE BUYING DELTAS ARE DECREASING, THE XLF IS STILL DIVERGING FROM THE ES. IF WE BREAK UNDER THE LOWS, 1199 IS THE TARGET.MOVING MY STOP DOWN TO 1138 @ 10:42, OUT @ 1136.50 @ 10:44, THE SELLING DELTAS ARE TURING GREEN, GAIN 300 PTS, SHORT @ 1134 @ 10:48, MY STOP IS 1136, THE TICK IS GETTING WEAKER AND SELLING DELTAS ARE BACK, THERE IS SOME PASSIVE BUYING IN THE 1133-1135 AREA, IF WE BREAK THIS, IT SHOULD BE A QUICK LEG DOWN. REVERSE @ 1136 @ 10:51, LOSS ON THE SHORT 200 PTS, NOW LONG @ 1136, MY STOP IS 1134, SELLING DELTAS DISSAPPEARED AT THE 1133'S, BETWEEN THE DIVERGENCE IN THE XLF IAND THE SELLING DRYING UP, I THINK WE CAN ROTATE BACK UP TO THE B PERIOD HIGH IN THE 1143'S, THAT IS MY TARGET.OUT AND REVERSE @ 1137 @ 11:02, PASSIVE SELLING IN THE 1137'S, THE BUYING DELTAS ARE DRYING UP, GAIN ON THE LONG 100 PTS, MY STOP ON THE 1137 SHORT IS 1138, THE XLF IS MAKING NEW LOWS. MOVING MY STOP DOWN TO 1134 @ 11:08, DOWN TO 1131 @ 11:09, DOWN TO 1130 @ 11:10, OUT @ 1129.50 @ 11:11, GAIN 750 PTS, SHORT @ 1128, PASSIVE SELLING IN THE 1128-1129'S, MY STOP IS 1130, THE XLF IS BREAKING DOWN. OUT @ 1128 @ 11:20 PASSIVE BUYIN IN THE 1126 AND THE 1127 LINES, BREAK EVEN. SHORT @ 1131.75 @ 11:24, MY STOP IS 1133.75, STOPPED OUT LOSS 200 PTS, THERE IS A VOLUME CLUSTER THAT SENT US LOWER IN THE 1135-1139 AREA, SHORT @ 1132.50 @ 11:27, MY STOP IS 1136, OUT @ 1131 @ 11:38, PASSIVE BIDS IN THE 1130'S, GAIN 150 PTS, SHORT @ 1136 @ 11:50, MY STOP IS 1138, WE JUST APPROACHED THAT VOLUME CLUSTER THAT I SPOKE ABOUT IN THE 1136-1139 AREA, ALSO IT IS THE D PERIOD HIGH. MY TARGET IS THE E PERIOD LOW IN THE 1129'S, VOLUME GREEN DELTAS ARE DECREASING ON THE WAY UP, THE TICK HAS MADE HIGHER LOWS, WE SHALL SEE IF THE SELLERS REENGAGE IN THE 1136-1139 AREA.OUT @ 1134.75 AND REVERSE @ 11:58, PASSIVE BIDS IN THE 1134'S, GAIN ON THE SHORT 125 PTS, NOW LONG AT 1134.75, MY STOP IS 1133, MY TARGET IS THE B PERIOD HIGH IN THE 1143'S, MOVING MY STOP UP TO 1135 @ 12:08 OUT @ 1136.75 @ 12:10, THERE IS A LOT OF PASSIVE SELLING IN THE 37-39'S, GAIN 200 PTS,SHORT @ 1137 @ 12:11, MY STOP IS 1140, THE TICK IS MAKING LOWER HIGHS, THE XLF IS STEADY, THE 1141-1143 FROM THE B PERIOD HIGH HAS A GOOD BLOCK OF SUPPLY THERE. IF WE CAN BREAK THE 1134'S WHERE PASSIVE BIDS SIT FROM A FEW MINUTES AGO, THE 1130 IS A REASONABLE TARGET NEAR THE E PERIOD LOW. MOVING MY STOP DOWN TO 1135 @ 12:34, OUT @ 1131.75, GAIN 525 PTS, WILL REENTER,THE SELLING DELTAS ARE LIGHT. WE HIT THE 1130'S ON LIGHT VOLULME.LONG @ 1132 @ 12:53, MY STOP IS 1130, THE ES DOJI'D AND THE TICK IS MAKING HIGHER LOWS, THERE IS SOME PASSIVE BIDS IN THE 1131'S TOO, THE XLF IS TURNING GREEN, MY TARGET IS THE F PERIOD HIGH INTEH 1139'S, REVERSE @ 1133.50 @ 1:01, GAIN ON THE LONG 150 PTS, NOW SHORT @ 1133.50, MY STOP IS 1135, MY TARGET IS THE 1119, THE CLOSE FROM 9/29, THE ES DOJI'D AND THE TICK IS WEAK, THE XLF ALSO DOJI'D, MOVING MY STOP DOWN TO 1134 @ 1:06, DOWN TO 1132 @ 1:08, DOWN TO 1131 @ 1:11, WE ARE TESTING THE BLOCK IN THE LOWER PART OF THE D PERIOD THAT SENT US HIGHER, THE XLF IS LEADING US LOWER, WE NEED TO GET PAST THIS BLOCK IN THE 1127'S, MOVING MY STOP DOWN TO 1130 @ 1:12, DOWN TO 1128 @ 1:13, STOPPED OUT GAIN 550 PTS, SHORT @ 1127.50 @ 1:17, MY STOP IS 1129, SOME PASSIVE OFFERS IN THEE 1128'S, THE XLF IS STILL WORKING LOWER AS IS THE RED VOLUME DELTAS. STOPPED OUT LOSS 150 PTS,LONG @ 1129 @ 1:20, THE ES AND THE XLF DOJI'S AT THE LOWS, THE VOLUME DELTAS ARE TURNING GREEN, MY STOP IS 1126, MY TARGET IS THE H PEIROD HIGH IN THE 1133'S, THE XLF IS TURING ALSO AND THE TICK IS MAKING HGHER LOWS OVER THE LAST FEW MINUTES IN THE 1126'S, REVERSE @ 1130.25 @ 1:35, THE ES AND THE XLF DOJI'D, THE TICK REVERSED AT THE +500 LEVEL WHICH HAS BEEN A GOOD SELLING LEVEL ALL DAY, GAIN ON THE LONG 125 PTS, NOW SHORT @ 1130.25, MY STOP IS 1132, MY TARGET IS THE 1119 AREA,MOVING MY STOP DOWN TO 1130 @ 1:43, OUT AND REVERSE @ 1127 @ 1:44, GAIN ON THE SHORT 325 PTS, WE TOOK THE LOW OF THE H PERIOD OUT BY ONLY A TICK, AND MADE A DOUBLE BOTTTOM WITH THE D PERIOD, THE TICK HIT -800 ON THAT LINE NOW THE MARET IS RALLING QUICKLY OFF OF THE LOW, THAT WAS A QUICK REVERSAL,NOW LONG @ 1127, MY STOP IS 1125, MOVING MY STOP UP TO 1131 @ 1:43 OUT @ 1132.50 @ 1:48 AND REVERSE,GAIN ON THE LONG 550 PTS, NOW SHORT @ 1132.50, MY STOP IS 1135, IT LOOKS LIKE THE TICK IS REVERSING FROM THE +700 LEVEL, THE XLF IS TURNING RED, THE ES IS REVESED ON THE 5 MINUTE BAR, WITH LIGHT GREEN VOLUME DELTA, MY TARGET IS THE LOWS IN THE 1125-1119 AREA, THAT MOVE UP COULD HAVE BEEN THE LAST RALLY BEFORE WE CLOSE THE GAP, STANDING BY~~MOVING MY STOP DOWN TO 1131 @ 1:53, DOWN TO 1128 @ 1:54, STOPPED OUT GAIN 450 PTS, SHORT @ 1131.25 @ 2:04, MY STOP IS 1133.50 THERE IS SOME PASSIVE SELLING IN THE PAST IN THE 1130-1133 AREA ON THE 5000 DELTA FOOTPRINT CHART.THE XLF IS DIVERGING ALSO AND LEADING US LOWER, MY TARGET IS STILL THE 1119'S, REVERSE AT 1131.50 @ 2:11, THE ES AND THE XLF DOJI'S AND GREEN VOLULME IS STILL COMING IN, LOSS ONTHE SHORT 25 PTS, NOW LONG AT 1131.50, MY STOP IS 1130, MY TARGET IS THE F PERIOD HIGH OR HIGHER IN THE 1140'S, THE MARKET IS MOVING NICELY, NICE QUICK ROTATIONS, THE TICK IS MAKING HIGHER HIGHS, OUT @ 1133 @ 2:14, THERE IS 1319 SITTING AT THE 1134.50 LINE AND THE TICK HIT THE +600 AND REVERSED, GAIN 150 PTS, IT SEEMS WE CANT GET OVER A +600 OR SO TICK LEVEL, IT THIS IS SO, THE 1119'S ARE STILL A VALID TARGET, SHORT @ 1132 @ 2:16, MY STOP IS 1134, MOVING MY STOP DOWN TO 1131 @ 2:20, DOWN TO 1130 @ 2:22, DOWN TO 1129 @ 2:24, DOWN TO 1127 @ 2:29, SOME BIDS ARE SITTING ON THE 1125 LINE, THE TICK IS MAKING LOWER HIGHS AND HIGHER LOWS, THE XLF IS STALLING THE VOLUME IS LIGHT AT THE LOW, WE NEED VOLULME TO PICK UP TO BREAK DOWN HERE , STOPPED OUT GAIN 500 PTS, SHORT @ 1125.50 @ 2:23, MY STOP IS 1127.50, JUST IN CASE WE BREAK QUICKLY, SELLING DELTAS ARE STILL WITH US, THE TICK IS WEAKING OVER THE LAST HOUR, MOVING MY STOP DOWN TO 1124 @ 2:35, WE ARE HEADING TOWARD THE 1119'S OR LOWER, OUT @ 1121.75, WE CLOSED THE GAP, GAIN 375 PTS,LONG @ 1122 @ 2:45, MY STOP IS 1120, I DIDNT REVERSE AT THE GAP, SO HERE IS MY SECOND CHANCE TO GET LONG, THE TICK IS MAKING HIGHER LOWS, AND PASSIVE BUYING CAME IN AT THE GAP AND THE 1121.25 LINE , THE XLF IS GREEN AS ARE THE VOLULME DELTA'S, THERE IS TWO SIDED TRADE HAPPENING IN THE 1123-1125 AREA, MOVING MY STOP UP TO 1222.25 @ 2:54, BOY THAT WAS CLOSE! TRADED THE 1222.50 @ 2:55!, MOVING MY STOP UP TO 1124 @ 2:56, TODAYS POC IS UP NEAR THE 1136 AREA, THAT IS MY TARGET. OUT @ 1126 @ 3:03, THERE IS PASSIVE SELLING UP HERE IN THE 1127-28 AREA, GAIN 400 PTS,SHORT @ 1127.50 @ 3:08, MYS TOP IS 1229, PASSIVE OFFERS IN THE 1128'S, I THINK WE CAN RETEST THE LOWS WITH THIS SUPPLY OVERHEAD, MOVING MY STOP DOWN TO 1127 @ 3:15, DOWN TO 1125 @ 3:17, DOWN TO 1123 @ 3:19, OUT @ 1120.50 @ 3:20, PASSIVE BIDS AT THE 1120'S, GAIN 700 PTS, WE MADE A DOUBLE BOTTOM WITH K PERIOD LOW, LONG @ 1121 @ 3:22, THE TICK DOJI'D AT THE 2ND SD BTM AT -700, MY STOP IS 1119, GREEN VOLUME DELTAS ARE COMING IN AT THE LOW AND THE TICK IS REVERSING , 1407 CAME IN PASSIVELY AT THE 1121.75, THIS COULD BE A PROBLEM, WATCHING THE TICK IT IS AT -282 RIGHT NOW, WE CLOSED GREEN, ALL IS ALRIGHT, THERE IT IS, THE TICK CLOSED THAT BAR AT +500 AT 1123 IN THE ES.MAN, THE TICK IS BACK IN THE NEGATIVE, NO CONTINUATION OFF OF THE LOWS, OUT @ 1121.50 @ 3:27, GAIN 50 PTS, I DONT LIKE THIS ACTION AT THE LOW, VOLUME IS LIGHT, AND WE CANT GET TRACTION. WE JUST TOOK OUT THE LOW BY A COUPLE OF TICKS, SELLING VOLULME IS LIGHT, LONG @ 1121 @ 3:30, MY STOP IS 1119, LET SEE IF WE CAN GET SOME TRACTION AND CLOSE AT THE CURRENT POC UP NEAR THE 1128'S, MOVING MY STOP UP TO 1122 @ 3:32, WE ARE MOVING, TRADING THE 1124'S UP TO 1124 @ 3:34, STOPPED OUT GAIN 300 PTS, I THINK I AM DONE FOR THE DAY, GOOD TRADING TO YOU. SHORT @ 1124 @ 3:40 @ 3:36, MY STOP IS 1126, THE TICK JUST HIT +800 THE HIGHEST LEVEL ALL DAY IN A DOWN TREND, MOVING MY STOP DOWN TO 1121 @ 3:40, DOWN TO 1118 @ 3:48, PASSIVE BIDS IN THE 1115'S, THE TICK IS MAKING LOWER LOWS, THE XLF IS STEADY, OUT @ 1117 @ 3:50, GAIN 700 PTS, I AM DONE! GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 7300 PTS
10/3
LONG @ 1137.50 @9:34, MY STOP IS 1135, GREEN VOLUME DELTAS AND THE XLF IS LEADING THE WAY HIGHER, I AM LOOKING TO FILL THE A PART OF THE PROFILE FROM YESTERDAY, MAYBE TRADING AS HIGH AS THE 1165'S, WE COULD VERY WELL MAKE THE LOW DURING THE FIRST HOUR TODAY, I DONT THINK FOLKS ARE GOING TO WANT TO BE SHORT INTO THE WEEKEND. MOVING MY STOP UP TO 1138 @ 9:42, THE TICK IS STONG, ALL ABOVE THE ZERO LINE, VOLUME DELTAS ARE ALL GREEN, THE XLF THE XLB THE XLE ARE ALL MAKING HIGHER HIGHS.OUT @ 1140 @ 9:46, THE XLF DOJI'D, GAIN 250 PTS, LONG @ 1138.50 @ 9:52, THIS IS WHERE WE BROKE UP FROM AT 9:42, THE CONSOLIDATION LINE IN THE 1137'S, MY STOP IS 1136, OUT @ 1142.75 @ 10:00, 1435 CAME IN AT THE 1143.25 LINE THE XLF IS SELLING OFF, AND THE BUYING DELTAS ARE DECREASING AT THE HIGH, GAIN 475 PTS, SHORT @ 1141 @ 10:03, MY STOP IS 1143, MOVING MY STOP DOWN TO 1140 @ 10:06, THE XLF IS LEADING THE WAY DOWN AND THE TICK IS WEAKING, SELLING DELTAS ARE PICKING UP. STOP MOVED DOWN TO 1139 @ 10:07, DOWN TO 1138 @ 10:10, DOWN TO 1137 @ 10:12, OUT @ 1136 @ 10:13, PASSIVE BIDS COMING IN AT THE 1135'S, SELLING DELTAS ARE DRYING UP, THE XLF LOOKS LIKE IT IS GOING TO CLOSE DOJI STYLE, GAIN 500 PTS, LONG @ 1137.75 @ 10:14, MY STOP IS 1134, PASSIVE BIDS IN THE 1135 LINE, THAT WAS A QUICK BOUNCE OFF OF THE LOW, I WOULD HAVE BEEN BETTER SERVED TO REVERSE, BUT MISSED IT. MOVING MY STOP UP TO 1138 @ 10:20, UP TO 1140 @ 10:21, OUT @ 1143 @ 10:22, PASSIVE OFFERS SITTING IN THE 1145'S, THIS IS THE AREA OF THE VOLUME CLUSTER IN THE A PERIOD THAT SENT US LOWER YESTERDAY. GAIN 525 PTS,LONG @ 1141 @ 10:27, PASSIVE BIDS IN THE 1139-114 AREA, SELLING VOLUME IS NUETRAL, MY STOP IS 1139, WE SHOULD BREAK PAST THAT 1145 AREA SECOND TIME UP, THE FIRST TIME UP WAS A GOOD SHORT, BUT I MISSED THE REVERSE, AND GOT OUT A BIT LATE. THE XLF IS GREEN AGIAN, MOVING MY STOP UP TO 1144 @ 10:35, OUT @ 1146.50 @ 10:35, PASSIVE OFFERS IN THE 1147'S, THE TICK HIT THE +800 LEVEL ALSO, GAIN 550 PTS, WE ARE AT A LOW VOLUME AREA FROM THE A PERIOD YESTERDAY IN HE 1147-1152'S,SHORT @ 1145.75 @ 10:40, MY STOP IS 1148 THE TICK LOOKS HEAVY AT THE 2ND SD ATM, THE XLF DOJI'D, BUYING VOLUME DELTAS ARE NOW RED, MY TARGET IS THE C PERIOD LOW IN THE 1141'S, MOVING MY STOP DOWN TO 1147 @ 10:49, WE ARE CHOPPING AROUND HERE IN THE 1142-1146'S, STOPPED OUT LOSS 125 PTS, LONG @ 1146.50 @ 10:52, MY STOP IS 1144, MOVING MY STOP UP TO 1147 @ 10:54, THE XLF IS AGIAN RALLYING, THE TICK IS MAKING HIGHER LOWS DURING THIS LAST RETRACEMENT, MADE A NEW HIGH, MOVING MY STOP UO TO 1148 @ 10:55, UP TO 1149 @ 10:57, UP TO 1150 @ 11:00, UP TO 1153 @ 11:01, STOPPED OUT GAIN 650 PTS, LONG @ 1151.75 @ 11:09, MY STOP IS 1150, SUPPORT AT THE C PERIOD HIGH IS IN THE 1151'S, THE TICK IS MAKING HIGHER LOWS AND VOLUME DELTAS ARE GREEN, THE XLF IS LAGGING AND FOLLOWING THE ES. REVERSE @ 1153.50 @ 11:18, GAIN ON THE LONG 175 PTS, NOW SHORT @ 1153.50, MY STOP IS 1155.50, 1073 CAME IN ON THE ASK IN THE 1154S PASSIVLY, THE TICK IS MAKING LOWER HIGHS, THE XLF IS LAGGING, WE HIT THE A PERIOD HIGH FROM YESTERDAY WHICH IS RESISTANCE. MY TARGET IS THE B PERIOD HIGH IN THE 1145'S, MOVING MY STOP DOWN TO 1153 @ 11:21, DOWN TO 1152 @ 11:26, DOWN TO 1151 @ 1129, OUT @ 1149 @ 11:30, THE VOLUME DELTAS ARE TURNING GREEN, THE TICK IS MAKING HIGHER LOWS, AND THERE IS 1392 ON THE 1148 LINE. GAIN 450 PTS, LONG @ 1149.75 @ 11:31, MY STOP IS 1147, I DIDNT REVERSE, BUT THE TICK WAS GREEN ON THE CLOSE AND THE XLF LOOKS LIKE IT IS DOJI'D, 1392 CAME IN AT THE 1148 LINE, MOVING MY STOP UP TO 1150 @ 11:40, STOPPED OUT GAIN 25 PTS, SHORT @ 1152 @ 11:41, MY STOP IS 1154, THE TICK HIT THE +700 AND REVESED WITH NUETRAL VOLUME DELTAS, THE XLF DOJI'D ON THE CLOSE OF THE NEXT BAR ALSO, THIS CONFIRMS THE TRADE, MOVING MY STOP DOWN TO 1151 @ 11:49, THE TICK IS DOWN NEARE THE 2ND SD BTM, WE ARE AT THE D PEIROD LOW, MOVING MY STOP DOWN TO 1149 @ 11:50, THE B PERIOD HIGH COULD BE SUPPORT IN THE 1145'S, MOVING MY STOP DOWN TO 1147 @ 11:51, OUT @ 1146 @ 11:52, THERE IS A BLOCK OF VOLULME THAT SENT US HIGHER IN THE C PERIOD INTHE 1144-1146 AREA, GAIN 600 PTS, LONG @ 1144.50 @ 11:54, we are RIGHT AT THE LOW VOLUME AREA RIGHT BELOW THAT VOLUME CLUSTER IN THE 1144-1146, WE HIT THE 1143.75, THE TICK DOJI'D AT THE 2ND SD BTM AT -550, MY STOP IS 1143.50, THERE IS ALSO SUPPORT IN THE A AND B PERIOD IN THE 1141-1142 AREA, MY TARGET IS A NEW HIGH.I THINK THE DESTINATION TRADE IS THE 1167 AREA, THAT IS THE CLOSING RANGE FROM THE 10/1 PROFILE, moving my stop up to 1147 @ 12:05, stoppd out gain 250 pts, LONG @ 1141.25 @ 12:28, MYSTOP IS 1138.50, WE ARE TRADING IN THE MIDDLE OF THE VOLUME CLUSTER THAT SENT US HIGHER IN THE A PERIOD, THE TICK IS GREEN AT THE 1140'S AND REVERSING AT THE 2ND SD BTM, THERE IS PASSIVE BIDS IN THE 1140'S TOO,MOVING MY STOP UP TO 1147 @ 12:47, UP TO 1149 @ 12:52, UP TO 1151 @ 12:59, STOPPED OUT GAIN 975 PTS, RIGHT TO THE TICK DAMN, LOOKING TO REENTER LONG @ 1155 @ 1:06, MY STOP IS 1151, MY TARGET IS THE 1167'S, I WOULD HAVE LIKE TO REENTER LOWER, BUT I THINK WE CAN CLOSE THE GAP AT THE 1167'S, MOVING MY STOP UP TO 1153 @ 1:08, UP TO 1155.25 @ 1:09, WOW STOPPED OUT THATS DISAPPOINTING, WILL REENTER, GAIN 25 PTS, LONG @ 1153.75 @ 1:14, MY STOP IS 1150.75, THE TICK HIT THE 2ND SD BTM NEAR -400 AND CLOSED GREEN ABOVE THE ZERO LINE.MOVING MY STOP UP TO 1152 @ 1:22, STOPPED OUT LOSS 175 PTS, THAT WAS AGIAN DISAPPOINTING. I AM GOING TO LUNCH, GOOD TRADING YOU YOU, JUST GOT BACK A WILD SELL OFF! SHORT @ 1128 @ 3:06,MY STOP IS 1130, THE TICK DOJI'D THE XLF DID ALSO, MY TARGET IS THE LOW NEAR THE 1110'S, MOVING MY STOP DOWN TO 1126 @ 3:11, DOWN TO 1125 @ 3:12, moving my stop down to 1123 @ 3:18, STOPPED OUT GAIN 500 PTS, SHORT @ 1120.25 @ 3:24, MY STOP IS 1122, THE TICK IS MAKING LOWER HIGHS, SELLING DELTAS ARE OCCURING, MY TARGET IS THE K PERIOD LOW, MOVING MY STOP DOW TO 1118 @ 3:26, DAMN, STOPPED OUT, GAIN 225 PTS, LONG @ 1118.50 @ 3:31, THE ES AND THE XLF DOJI'D, MY STOP IS 1116, MOVING MY STOP UP TO 1119 @ 3:34, MY TARGET IS THE CLOSE, OUT @ 1122.50 @ 3:34, WE ARE AT THE I PERIOD LOW WHICH IS A LOW VOLUME AREA. GAIN 400 PTS,SHORT @ 1121 @ 3:37, MY STOP IS 1124, THE TICK HIT THE 2ND SD ATM IN A STEEP DOWN TRENDAND CLOSED AT THE ZERO LINE, MY TARGET IS THE CLOSE OR A NEW LOW, MOVING MY STOP DOWN TO 1115 @ 3:42 A QUICK SELL OFF OF THE HIT AT THE 2ND SD ATM, MOVING MY STOP DOWN TO 1111 @ 3:44, OUT @ 1108 @ 3:45, GAIN 1300 PTS, THAT IS IT FOR ME, GOING TO LISTEN TO A TAO EVENT, GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 7575 PTS
10/6
ALTHOUGH LOTS OF OPPORTUNITY EXISTS, I AM TAKING THE DAY OFF, GOOD TRADING TO YOU. I AM BACK AT MY DESK, LONG @1014 @ 2:56, THIS SELLOFF IS REDICULAS, MY STOP IS 1008, A BIG STOP BECAUSE OF LARGE ROTATIONS, MY TARGET IS?? THE VOLUME DURING THE SELL OFF IS DECREASING AND THE ES AND THE XLF DOJI'D, THE TICK IS MAKING HIGHER LOWS, A NICE DIVERGENCE AT THE LOWS HERE OVER THE LAST 15 MINUTES. MOVING MY STOP UP TO 1015 @ 3:10, UP TO 1025 @ 3:15, UP TO 1030 @ 3:21, UP TO 1040 @ 3:31, STOPPED OUT GAIN 2600 PTS, WILD MARKET, LONG @ 1042.25 @ 3:43, MY STOP IS 1039, 2936 CAME IN ON THE BID AT THE 1040 LINE, MOVING MY STOP UP TO 1047 @ 3:45 , UP TO 1055 @ 3:51, UP TO 1059 @ 3:53, THE TICK IS STONG, MOVING MY STOP UP TO 1063 @ 3:54, OUT @ 1066.50 @ 4:00, GAIN 2425 PTS, SHORT @ 1066 @ 4:01,MY STOP IS 1070 THE ES DOJI'D AND PASSIVE OFFERS SITTTING INT HE 1066'S, OUT @ 1060.50 @ 4:05, GAIN 550 PTS, PASSIVE BIDS COMING IN AT THE 1058'S. I AM GLAD I DIDNT TRADE IN THE AM, BUT AM GLAD I CAUGHT THE LAST HOUR RALLY, IT IS HARD NOT TO TRADE THESE DAYS, BUT I ENJOYED THE AM AND LUNCH! GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 5575 PTS
10/7
SHORT@ 1072 @ 9:32,MY STOP IS 1076, 1927 CAME IN ON THE PASSIVE SELL IN THE 1073 LINE, MY TARGET IS THE 1052 AREA, YESTERDSAYS CLOSE. MOVING MY STOP DOWN TO 1071 @ 9:36, STOPPED OUT GAIN 100 PTS,SHORT @ 1076.75 @ 9:43, MY STOP IS 1079, PASSIVE OFFERS IN THE 1077.50 LINE, THE TICK IS ABOVE THE ZERO LINE VOLUE IS MOSTLY GREEN MY TARGET IS THE 1067'S, OUT @ 1068.50 @ 9:48, PASSIVE BIDS IN THE 1068'S GAIN 825 PTS, SHORT @ 1071.50 @ 9:50, THE ES AND THE XLF DOJI'D, MY STOP IS 1174, THE TICK MADE A LOWER HIGH IN THE +800-+600 LEVEL, MOVING MY STOP DOWN TO 1066 @ 9:55, DOWN TO 1061 @ 9:57, STOPPED OUT GAIN 1050 PTS, long @ 1063.50 @ 10:10, the es and the xlf doji'd, my stop is 1060, STOPPED OUT LOSS 350 PTS,MANY MORE SELLING DELTAS ARE ACCUMULATING, BUT WE JUST CLOSED THE GAP AT THE 1053'S, LONG @ 1054 @ 10:04, MY STOP IS 1051, MY TARGET IS THE B PERIOD HIGH IN THE 1065 AREA, THE TICK IS MAKING HIGHER LOWS, BUT THE XLF IS MAKING LOWER LOWS, MORE SELLING TODAY THAN BUYING ON HEAVY VOLUME. REVERSED @ 1054.50 @ 10:07, GAIN ON THE LONG 50 PTS, NOW SHORT @ 1054.50, MY STOP IS 1059, STOPPED OUT LOSS 450 PTS, LONG @ 1060 @ 10:12, MY STOP IS 1058, GREEN VOLUME DELTAS COMING IN THE TICK IS MAKING HIGHER LOWS, MY TARGET IS THE 1065'S THE B PERIOD HIGH. STOPPED OUT LOSS 200 PTS, SHORT @ 1061 @ 10:21, MY STOP IS 1065, THE ES DOJI'D WE JUST HIT THE MEAN OF THE VWAP AND LOOK TO BE RIDING THE BOTTOM DEVIATION OF THE CHANNEL. MY TARGET IS A NEW LOW IS THE XLF BREAKS LOWER, OUT @ 1059, PASSIVE BIDS CAME IN AT THE 1057'S, CHOPPPY MARKET, GAIN 200 PTS, LONG @ 1061.50 @ 10:25, MY STOP IS 1060, THE ES DOJI'D, THE XLF DOJI'D TOO, MOVING MY STOP UP TO 1063 @ 10:29, REVERSE @ 1067 @ 10:35, GAIN ON THE LONG 550 PTS, NOW SHORT @ 1067, MY STOP IS 1069. THE ES DOJI'D AS DID THE XLF, THE BUYING VOLUME DELTAS DRIED UP AND THE TICK IS MAKING LOWER HIGHS.OUT @ 1065.75 @ 10:39, PASSIVE BIDS IN THE 1064 AREA, GAIN 125 PTS,SHORT @ 1067.25 @ 10:42, MY STOP IS 1069, WE ARE AT THE BLOCK OF VOLUME THAT SENT US LOWER IN THE A PERIOD AGIAN, THE TICK IS BACK AND FOURTH, THE VOLUME IS NEUTRAL,MOVING MY STOP DOWN TO 1065 @ 10:43, STOPPED OUT GAIN 225 PTS, THIS MARKET IS CHOPPY, I AM TAKING A BREAK. SHORT @ 1064.50 @ 10:53, MY STOP IS 1066, PASSIVE OFFERS SITTING IN THE 1064'S AND THE ES AND XLF DOJI'D, WE HAVE BEEN TRADING IN THE VALUE AREA WHICH DOESNT MAKE FOR THE BEST TRADE LOCATIONS. THE TICK IS BACK AND FORTH, THE VOLUME DELTAS ARE MORE NEUTRAL, MY TARGET IS THE B PERIOD LOW IN THE 1050'S, MOVING MY STOP DOWN TO 1061 @ 11:10, DOWN TO 1057 @ 11:21, DOWN TO 1053 @ 1123, STOPPED OUT GAIN 1150 PTS, SHORT @ 1062 @ 11:50, MY STOP IS 1064, WE ARE RIGHT AT THE VWAP MEAN AND THE TICK HIT +700 AND REVERSED, MY TARGET IS THE E PEIROD LOW IN THE 1052 AREA.MOVING MY STOP DOWN TO 1055 @ 12:04, OUT @ 1053 @ 12:07, SOME PASSIVE BIDS IN THE 1051 LINE, GAIN 900 PTS, TAKING A BREAK.SHORT @ 1047 @ 12:35, PASSIVE OFFERS SITTING IN THE 1047'S ,MY STOP IS 1049, MY TARGET IS THE 1038'S THIS IS THE HIGH VOLUME LINE AT THE M PERIOD LOW FROM YESTERDAY.THE XLF IS LEADING THE WAY DOWN. MOVING MY STOP DOWN TO 1043 @ 12:38, OUT @ 1039.75 @ 12:39 GAIN 775 PTS,SHORT @ 1042 @ 12:45, THE TICK HIT +400 AND CLOSED NEGATIVE THE XLD DOJI'D. THE +400 HIT WAS THE FIRST GREEN VOLUME DELTA AND IT COULDNT MOVE PRICE PAS THE 1044'S, MY STOP IS 1045,MOVING MY STOP DOWN TO 1040 @ 12:53, OUT @ 1038 @ 12:54, VOLUME IS ERRATIC DOWN HERE, GAIN 400 PTS, LONG @ 1037.50 @ 12:56, THIS IS RIGHT WHERE THE L PERIOD FROM YESTERDAY BROKE ABOVE THE J PERIOD HIGH, IT SHOULD BE SUPPORT, THE ES DOJI'D AND SELLING DELTAS ARE DRYING UP, THE TICK IS MAKING HGHER LOWS TOO. MY STOP IS 1035, MOVING MY STOP UP TO 1041@ 1:03, UP TO 1044 @ 1:07, STOPPED OUT GAIN 650 PTS, TAKING A BREAK, SHORT @ 1047.50 @ 1:13, MY STOP IS 1050, PASSIVE OFFERS IN THE 1049'S, WE HIT THE 50% RETRACEMENT FORM THE 11:45 SELL OFF FROM THE 1061'S, AND THE TICK HIT THE +800 LEVEL AND REVERSED, THE ES ALSO DID A DOJI TYPE REVERSAL, MOVING MY STOP DOWN TO 1045 @ 1:17, CHOPPY MARKET, ALMOST GOT STOPPED OUT, MOVING MY STOP DOWN TO 1044 @ 1:21, DOWN TO 1041 @ 1:21, DOWN TO 1038 @ 1:22, DOWN TO 1034 @ 1:23, STOPPED OUT GAIN 1350 PTS, THAT IS IT FOR ME, GOING TO LUNCH, GOOD TRADING TO YOU. SHORT @ 1026 @ 3:16, THE TICK HIT +600 AND CLOSED NEGATIVE, THIS IS NEAR THE L PERIOD HIGH MADE EARLIER, VOLUME DELTAS HAVE BEEN MOSTLY NEGATIVE, MY STOP IS 1028, MOVING MY STOP DOWN TO 1023 @ 3:18, DOWN TO 1020 @ 3:19, STOPPED OUT GAIN 600 PTS,DAMN, STOPPED OUT RIGHT TO THE TICK NOW TRADING THE 1012'S! LONG @ 1012 @ 3:25, MY STOP IS 1010, PASSIVE BIDS COMING IN AT THE 1011'S, THE TICK HAS BEEN AROUND THE -1000 FOR A FEW BARS NOW. MOVING MY STOP UP TO 1015 @ 3:27, STOPPED OUT GAIN 300 PTS,DAMN, RIGHT TO THE TICK AGAIN, NOW TRADING THE 1020'S! , SHORT @ 1020.50 @ 3:34, MY STOP IS 1023.50, THE ES IS ABOUT TO DOJI AS IS THE XLF, THE TICK IS REVERSING, VOUME DELTAS ARE TURNING RED AGAIN. MOVING MY STOP DOWN TO 1017 @ 3:40, DOWN TO 1016 @ 3:41, OUT @ 1014 @ 3:43, SOME BIDS SITTING IN THE 1013'S, GAIN 650 PTS, SHORT @ 1011 @ 3:45, WE LOOK TO BE BREAKING LOWER, HEAVY SELLING DELTAS, MY STOP IS 1014,MY TARGET IS BELOW YESTERDAYS LOW IN THE 1000 AREA OR LOWER.MOVING MY STOP DOWN TO 1012 @ 3:46 DOWN TO 1009 @ 3:49 DOWN TO 1007 @ 3:50, STOPPED OUT GAIN 400 PTS, THATS IT FOR ME, GOOD TRADIGN TO YOU
TOTAL GAIN FOR THE DAY 9300 PTS
10/8
THE VOLUME IS WAY TO ERRATIC TO TRADE, LOOKS LIKE A GOOD DAY FOR THE BEACH. GOOD TRADING TO YOU.
10/9
SHORT @ 1007 @9:45, MY STOP IS 1010.50, PASSIVE SELLING, OVER 3000 CAME IN AT THE 1009'S, THE TICK HIT +600 AND CLOSED AT THE ZERO LINE , MOVING MY STOP DOWN TO 1004 @ 9:56, DOWN TO 1000 @ 10:00,MY TARGET IS THE GAP AT 980 FROM YESTERDAYS CLOSE, SELLING DELTAS ARE PICKING UP AND THE XLF IS LEADING THE WAY, MOVING MY STOP DOWN TO 996 @ 10:01, PASDIVE BIDS AT THE 991'S CAME IN , TRADING THE 92-94'S ON ERRATIC VOLUME, STANDING BY MY 996 STOP.MORE PASSIVE BUYING IN THE 990'S, OUT @ 993 @ 10:04, GAIN 1400 PTS, TAKING A BREAK, VOLUME IS STILL ERRATIC, SHORT @ 997 @ 10:12, MY STOP IS 1001, THE ES JUST HIT THE VWAP MEAN AND THE TICK IS REVERSING OFF OF THE +500 LEVEL, PASSIVE OFFERS COMING IN AT THE 998'S AND 997'S, MY TARGET IS A NEW LOW, STILL THE CLOSE IN THE 980'S, MOVING MY STOP DOWN TO 997 @ 10:17, STOPPED OUT BREAK EVEN, VOLUME IS STILL TO ERRATIC FOR MY TASTE. WE JUST HIT THE VWAP MEAN AGIAN, MY STOP WAS TO CLOSE, SHORT @ 996.50 @ 10:19, MY STOP IS 1000, MY TARGET IS THE SAME THE 980'S, THE TICK IS MAKING LOWER HIGHS AND VOLUME DELTAS ARE NEGATIVE. MOVING MY STOP DOWN TO 996 @ 10:25, I HAVE A LIMIT ORDER TO OFFSET AT 981.75, FILLED @ 10:33, GAIN 1475 PTS, TAKING A BREAK, WE FILL THE GAP FOR THE MOST PART.LONG @ 966.75 @ 11:06, THE TICK JUST HIT THE -1200 LEVEL RIGHT AT THE GLOBEX LOW FROM 10/7 IN THE 963'S, MY STOP IS 960, MOVING MY STOP TO 969 @ 11:12, PASSIVE SELLING IN THE 972'S, THE TICK HIT THE +200 LEVEL, SELLING DELTAS ARE TURNING POSITIVE THOUGH. MY TARGET IS A +400 HIT ON THE TICK,MOVING MY STOP UP TO 973 @ 11:14, OUT @ 977.50 @ 11:15, WE JUST HIT THE +500 LEVEL ON THE TICK, GAIN 1125 PTS, SHORT @ 979 @ 11:17,MY STOP IS 982, THE TICK HIT THE 2ND SD ATM FOR THE SECOND TIME ALL MORNING, MY TARGET IS THE 971'S, MOVING MY STOP DOWN TO 978.75 @ 11:18, STOPPED OUT GAIN 25 PTS, SHORT @ 981.50 @ 11:22, MY STOP IS 984.50, WE ARE BACK AT THE B PERIOD LOW WHICH IS RESISTANCE, THE TICK IS AT THE 2ND SD ATM BUT LOOKS TO BE REVERSING, MY TARGET IS THE 971'S, OUT @ 973 @ 11:29, GAIN 850 PTS,SHORT @ 990.50 @ 11:48, MY STOP IS 993, WE ARE RIGHT BELWO THE VOLUME CLUSTER IN THE B PERIOD THAT SENT US LOWER FROM THE 992-995 AREA, THE TICK IS AT TEH +600 LEVEL, BUT HAS BEEN MAKING HIGHER LOWS, THE VOLUME DELTAS ARE GREEN, THE XLF HAS LEAD THE WAY UP WE HAVE HAD A 30 PT ROTATION UPWARD FORM THE LOW, MY TARGET IS THE 974'S. MOVING MY STO DOWN TO 988 @ 11:51, MY LIMIT OFFSET IS 975.50, MOVING MY STOP DOWN TO 985 @ 11:57, MOVING MY STOP DOWN TO 983 @ 12:00 STOPPED OUT @ 975.50 @ 12:03, GAIN 1500 PTS, LONG @ 978.50, MY STOP IS 975, THE ES DOJI'D AS DID THE XLF, THE VOLUME DELTAS ARE TURNING GREEN, THE TICK IS MAKING HIGHER HIGHS. MY TARGET IS THE E PERIOD HIGH IN THE 990'S. MOVING MY STOP UP TO 979 @ 12:12, MY LIMIT OFFSET IS 990.OUT @ 980 @ 12:15, THE TICK AND THE XLF IS REVERSING OFF OF THE +600 LEVEL WITH LITTLE UPWARD MOVEMENT IN PRICE , GAIN 150 PTS, I AM DONE FOR A WHILE IF NOT FOR THE DAY, GOOD TRADING TO YOU, LONG @ 969.25 @ 2:30, MY STOP IS 966, I MISSED AN OPPORTUNITY A FEW MINUTES AGO IN THE 67-68'S, THE TICK IS MAKING HIGHER LOWS ON GREEN VOLUME DELTAS THE XLF IS STEADY, MY TARGET IS THE 987'S, STOPPED OUT LOSS 325 PTS, LONG @ 967 @ 2:39, MY STOP IS 965, MOVING MY STOP UP TO 969 @ 2:42, STOPPED OUT GAIN 200 PTS, THAT WAS DISAPPOINTING. LONG @ 965.50 @ 2:49, 1041 CAME IN AT THE 965 LINE, THE VOLUME IS LIGHT, THE TICK IS STILL MAKING HIGHER LOWS. MY STOP IS 964, STOPPED OUT LOSS 250 PTS, LONG @ 963 @ 2:55, MY STOP IS 961, THE VOLUME IS ERRATIC, STOPPED OUT LOSS 200 PTS, SHORT @ 960 @ 3:00, MY STOP IS 963, THE SELLING DELTAS ARE INCREASING, I THINK WE ARE GOING TOWARD THE 850 LEVEL AT SOME POINT, MOVING MY STOP DOWN TO 959 @ 3:02 , THE XLF IS BREAKING DOWN. MOVING MY STOP DOWN TO 956 @ 3:03, OUT @ 951.50 @ 3:05, 1446 CAME IN AT THE 950 AND THE TICK JUST HIT -1200, GAIN 850 PTS,LONG @ 956 @ 3:08, MY STOP IS 954, I SHOULD HAVE REVERSED AT THE -1200 HIT ON THE TICK, BUT I MISSED IT, MY TARGET IS THE 973 AREA THE K PERIOD HIGH, STOPPED OUT LOSS 200 PTS, SHORT @ 954 @ 3:10, MY STOP IS 957, MY TARGET IS A NEW LOW OR THE CLOSE. MOVING MY STOP DOWN TO 950 @ 3:13, MY LIMIT OFFSET IS 941, MOVING MY STOP DOWN TO 949 @ 3:15, STOPPED OUT GAIN 600 PTS, THATS IT FOR ME GOOD TRADING TO YOU
TOTAL GAIN FOR THE DAY 7225 PTS
10/10
LONG @ 880.25 @ 9:45, MY STOP IS 875, OUT @ 890 @ 9:46, GAIN 975 PTS, UNTIL THE VOLUME IS MORE STEADY I AM DONE.SHORT @ 909 @ 10:15, MY STOP IS 914, MOVING MY STOP DOWN TO 900 @ 10:19, THIS MARKET IS TO VOLATILE TO TRADE, STOPPED OUT GAIN 900 PTS, I AM DONE FOR A BIT, JUST NO VOLUME AT TO MANY PRICES.SHORT @ 891 @ 10:34, MY STOP IS 895, 1049 CAME IN PASSIVELY AT THE 893 LINE, MOVING MY STOP DOW TO 889 @ 10:35 STOPPED OUT, GAIN 200 PTS, THE MARKET IS STILL TO WILD TO TRADE. LONG @ 860 @ 12:00, MY STOP IS 955, THE ES AND THE XLF DOJI'D AT THE -1000 ON THE TICK, MOVING MY STOP UP TO 867 @ 12:06, STOPPED OUT GAIN 700 PTS, SHORT @ 876.75 @ 12:26, MY STOP IS 881, THE TICK HIT +500 FOR THE SECOND TIME, AND PRICE WAS STUCK IN THE 879'S, BUYING VOLUME DELTAS ARE DRYING UP, THE XLF IS ALSO REVERSING, MY TARGET IS THE F PERIOD LOW IN THE 857'S, MOVING MY STOP DOWN TO 876.50 @ 12:29, DOWN TO 874 @ 12:31, STOPPED OUT GAIN 275 PTS, LONG @ 868 @ 12:39, MY STOP IS 863, THE 863 IS A LOW VOLUME AREA AND THE TICK JUST HIT THE -900 AREA AND CLOSED GREEN, MOVING MY STOP UP TO 871 @ 12:41, UP TO 877 @12:42, THE XLF IS RALLYING AND GREEN VOLULME DELTAS ARE BACK. VOLUME IS LESS ERRATIC, BUT STILL ERRATIC. STOPPED OUT GAIN 900 PTS, RIGHT TO THE TICK 876.75 WAS THE LOW TICK! NOW TRADING THE 883'S! WILD MARKET, LONG @ 847.75 @ 2:56, MY STOP IS 842, THE TICK HIT THE -900 LEVEL AT THE 2ND SD BTM AND SELING DELTAS HAVE BEEN DECREASING OVER THE LAST HOUR. MOVING MY STOP UP TO 855 @ 3:02 OUT @ 856 @ 3:02, WE SHOULD HAVE GOTTEN OUT AT THE HIT ON THE 2ND ST ATM IN THE 63'S BUT DIDNT, WAS TRYING TO KEEP THE TRADE IF SHORT COVERING OCCURS INTO THE CLOSE, WILL LOOK TO REENTER, GAIN 825 PTS, LONG @ 865.75 @ 3:08, MY STOP IS 860. GREEN VOLUME IS COMING IN, LETS SEE IF WE GET SOME SHORT COVERING. MOVING MY STOP UP TO 875.75 @ 3:13, WOW THAT WAS CLOSE, MOVING MY STOP UP TO 885.75 @ 3:15, VOLUME IS AGAIN ERRATIC, THE TICK IS MAKING HIGHER LOWS, AND HIGHER HIGHS, THE XLF IS LEADING THE WAY, GREEN DELTAS ARE OCCURING ON EVERY 5 MINUTE INTERVAL, MOVING MY STOP UP TO 895 @ 3:23, STOPPED OUT GAIN 2925 PTS, I WAS LOOKING TO STAY IN LONGER BUT THE ROTATIONS ARE LARGE, WILL LOOK FOR A REENTRY, LONG @ 898 @ 3:25, MY STOP IS 893, WE HAD A QUICK CONSOLIDATION LINE IN THE 894'S-895'S AND ARE AGAIN RALLYING ON GREEN VOLUME. MOVING MY STOP UP TO 901 @ 3:28, UP TO 906 @ 3:28, UP TO 908 @ 3:28, STOPPED OUT GAIN 1000 PTS, LONG @ 911 @ 3:30 MY STOP IS 906, GOT STOPPED OUT ALMOST RIGHT TO THE TICK, MOVING MY STOP UP TO 912 @ 3:31, UP TO 920 @ 3:34, UP TO 930 @ 3:35, STOPPED OUT GAIN 1900 PTS, THATS IT FOR ME, GOD TRADING TO YOU. HOPEFULLY WE GET BACK TO NORMAL TRADING SOON.
TOTAL GAIN FOR THE DAY 10600 PTS
10/13
LONG @ 935.75 @ 10:11, MY STOP IS 933, WE JUST TOOK OUT THE B PERIOD LOW BY A COUPLE OF TICKS THAT WAS MADE A FEW MINUTES AGO, AND THE VOLUME DELTAS ARE SLIGHTLY NEGATIVE BUT THE TICK IS ABOVE THE ZERO LINE AND THE ES AND THE XLF DOJI'D, MOVING MY STOP UP TO 939 @ 10:25, UP TO 945 @ 10:28, UP TO 948 @ 10:42, WE ARE TRADING IN THE L PERIOD FROM THURSDAYS SELL OFF. THE TICK IS STRONG, MOSTLY ABOVE THE ZERO LINE ALL MORNING, THE XLF IS STEADY. OUT @ 952.50 @ 10:46, AND REVERSE, THE TICK HIT THE +1000 LINE AND REVERSED, GAIN ON THE LONG, 1675 PTS NOW SHORT @ 952.50, MY STOP IS 955, MY TARGET IS THE 945'S THE POC, STOPPED OUT LOSS 250 PTS, THE MARKET IS SLOW, NOT MUCH BUYING AT THE HIGH, THE TICK IS REVERSING AGIAN, SHORT @ 953.25 @ 11:02, MY STOP IS 956, STOPPED OUT LOSS 275 PTS, SHORT @ 954 @ 11:05, MY STOP IS 957, WE JUST TOOK OUT THE C PERIOD HIGH BY A COUPLE OF TICKS, THERE IS NO SELLING UP HERE, THE VOLUME DELTAS ARE GREEN, BUT THE BUYING ISNT INTENSE EITHER, PASSIVE OFFERS ARE SITTING AT THE 954.50 LINE NOW, THAT COULD BE ENOUGH TO SEND US LOWER. SOME MORE PASSIVE OFFERS JUST CAME IN AT THE 954 LINE, 1368 CONTRACTS @ 11:17, WE BOUNCED OFF OF THE 951'S, AND ARE GETTING MORE PASSIVE SELLING IN THE 954-955'S, THE E PERIOD JUST OPENED UP .THAT WAS CLOSE, TICKED 956.75, THE TICK THOUGH IS MAKING LOWER HIGHS, VOLUME IS GREEN THOUGH, DAMN STOPPED OUT, LONG @ 958 @ 11:32, SEEMS THAT WE WANT TO TREND HIGHER, MY LOSS ON THE SHORT WAS 300 PTS, MY STOP ON THE LONG IS 955, MY TARGET IS 976, THAT IS THE HIGH VOLUME AREA FROM THE 10/9 PROFILE. OUT @ 958.50 @ 11:46. THE PASSIVE BUYIN IN THE 960'S IS A LOT AND THE TICK HIT THE +1000 AND REVERSED. I WILL REENTER LOWER. GAIN 50 PTS, LONG @ 955.75 @ 11:53, THERE IS A BLOCK OF BUYING VOLUME IN THE 953-955 RIGHT BELOW US, MY STOP IS 953, THE TICK IS APPROACHING THE LEVELS THAT WE BOUNCED HIGHER FROM EARLIER IN THE DAY AROUND -200 TO -400. PASSIVE BIDS COMING IN AT THE 955 LINE TOO. THE MARKET IS GRINDING HIGHER, MOVING MY STOP UP TO 957.75 @ 12:15, THE XLF IS LEADING THE WAY,BUT IS STILL DIVERGING FROM THE OENING HIGH, AND THE TICK IS MAKING HIGHER LOWS ON THE WAY UP. GREEN VOLUME DELTA'SS ARE COMING IN . MY LIMIT OFFSET IS 974.50, MOVING MY STOP UP TO 960 @ 12:19, UP TO 962 @ 12:31, UP TO 964 @ 12:55, UP TO 965.75 @ 1:10, STOPPED OUT GAIN 1000 PTS,LONG @ 965.25 @ 1:43, MY STOP IS 962, THE TICK HIT THE -500 LEVEL, WHICH SHOULD BE SUPPORT, WE ALSO TRADED DOWN TO THE G PERIOD LOW AND THERE IS A BLOCK OF VOLUME IN THE 962'S FROM THE F PERIOD RALLY THAT SENT US HIGHER. STOPPED OUT LOSS 325 PTS, LONG @ 961.75 @ 1:56 , MY STOP IS 960, WE SITLL HAVE THAT CLULSTER BELOW US, THE TICK IS MAKING HIGHER LOWS, MY STOP WAS JUST A BIT CLOSE,AND MY ENTRY A BIT EARLY. THE E PERIOD HIGH AT 960.25 SHOULD BE SUPPORT. STOPPED OUT LOSS 175 PTS, THE TICK IS BREAKING DOWN A BIT, I WILL LOOK FOR A REENTRY SOME WHERE IN THE 954-956 AREA? THERE IS A BLOCK OF VOLUME IN THE 954'S FROM THE C-D PEIROD THIS MORNING, ALSO THE VWAP MEAN IS IN THE 954 AREA.LONG @ 959.25 @ 2:10, THE TICK JUST DOJI'D AT THE 2ND SD BTM, MY STOP IS 957, JUST IN CASE WE TEST THE 954'S. NOT TRADING ON THE DIVERGENCE AT THE HIGHS THAT I SPOKE ABOUT COST ME A SHORT FROM THE HIGHS, MUST BE A BIT RUSTY FROM ALL THE RECENT WILD RANGES! STOPPED OUT LOSS 225 PTS, LONG @ 955 @ 2:30, MY STOP IS 952, NEAR THE LOW OF THE VOLUME CLUSTER I SPOKE ABOUT. THE TICK IS AT THE 2ND SD BTM BUT SELLING VOLUME DELTAS ARE DECREASING DOWN HERE. WE ARE ALSO AT THE VWAP MEAN. MOVING MY STOP UP TO 957 @ 2:41, UP TO 962 @ 2:46, MY TARGET IS THE 974-976 AREA, UP TO 967 @ 2:58, UP TO 971 @ 3:01, UP TO 974 @ 3:05, UP TO 975 @ 3:07, STOPPED OUT GAIN 2000 PTS, LONG @ 976 @ 3:18, PASSIVE BIDS COMING IN AT THE 975'S, MY STOP IS 974, THE TICK IS STRONG, THE VOLUME DELTAS ARE GREEN, THE XLF IS STILL DIVERGED, WE HIT MY TARGET, CAN WE GET TO THE OTHER END OF 10/9'S VALUE AREA ON ITS PROFILE UP NEAR 1000 AREA?, THAT IS MY TARGET. MOVING MY STOP UP TO 979 @ 3:26, UP TO 981 @ 3:27, STOPPED OUT GAIN 500 PTS, LONG @ 981.25 @ 3:34, PASSIVE BIDS SITTING ON THE 979.75 LINE, VOLUME IS DRYING UP ON THE SELL SIDE, THE TICK HIT THE -400 AREA AND IS REVERSING, MY STOP IS 980, MOVING MY STOP UP TO 982 @ 3:36, MY TARGET IS STILL THE 1000 AREA, UP TO 987 @ 3:40, STOPPED OUT GAIN 575 PTS, LONG @ 988 @ 3:45, MY STOP IS 986, MY TARGET IS STILL THE 1000 AREA, MOVING MY STOP UP TO 992 @ 3:50, UP TO 994 @ 3:52, MY OFFSET LIMIT TO LIQUIDATE IS 999.50, STOPPED OUT GAIN 1150 PTS, THATS IT FOR ME TODAY, GOOD TRADING TO YOU
TOTAL GAIN FOR THE DAY 5450 PTS
10/14
I GOT TO MY DESK A BIT LATE AND MISSED THE OPENING, LOOKS LIKE WE ALMOST FILL THE GAP, LONG @ 1021 @ 10:00, MY STOP IS 1018, WE HAVE PASSIVE BIDS IN THE 1017'S, AND THE TICK IS MAKING HIGHER CLOSES ABOVE THE ZERO LINE, MOVING MY STOP UP TO 1026 @ 10:03, STOPPED OUT GAIN 500 PTS, LONG @ 1016.25 @ 10:09, MY STOP IS 1014, PASSIVE BIDS IN THE 1015 LINE, AND THE GAP IS CLOSED FROM YESTERDAY, SELLING DELTAS ARE DECREASING, STOPPED OUT RIGHT TO THE TICK, LOSS 225 PTS, LONG @ 1016.50 @ 10:15, MY STOP IS 1013, MOVING MY STOP UP TO 1020 @ 10:20, DAMN, STOPPED OUT GAIN 300 PTS, VOLUME IS ERRATIC, SHORT @ 1021.25 @ 10:32, MY STOP IS 1024,THE TICK IS MAKING LOWER HIGHS, AND SELLING IS PICKING UP IN THE DELTAS, MOVING MY STOP DOWN TO 1018 @ 10:38, DOWN TO 1014 @ 10:40, MY TARGET IS THE 987 AREA, THAT WOULD BE A SYMETRICAL LEG FROM THIS MORING, THAT WOULD ALSO BE AROUND THE L PERIOD HIGH FROM YESTERDAY, IF INDEED YESTERDAY WAS SHORT COVERING, IT IS GOING TO BE HARD TO FIND ANY SUPPORT INTHE M PERIOD RALLY FROM YESTERDAY. MOVING MY STOP DOWN TO 1006 @ 10:42, DOWN TO 1003 @ 10:44, DOWN TO 999 @ 10:46, STOPPED OUT GAIN 2225 PTS, THAT WAS QUICK, WILL LOOK TO REENTER AS THE TICK IS WEAK, SHORT @ 1005 @ 10:49, THERE IS A LOW VOLUME AREA IN THE 1007'S-1008'S, MY STOP IS 1008, MY TARGET IS STILL THE 987'S OR LOWER, STOPPED OUT LOSS 300 PTS, ALMOST RIGHT TO THE TICK, SHORT @ 1007.50 @ 10:52, MY STOP IS 1010.50, THAT WAS CLOSE TRADED THE 1010.25!, NOW TRADING THE 1007'S, DAMN STOPPED OUT LOSS 300 PTS, ON NO VOLUME, MAYBE IT IS TIME FOR A BREAK, SHORT @ 1009.25 @ 10:58, PASSIVE OFFERS SITTING AT THE 1010.50 LINE, MY STOP IS 1011, GIVE IT ONE MORE TRY.VOLUME IS ERRATIC, MOVING MY STOP DOWN TO 1008 @ 11:04, SELLING DELTAS HAVE DRIED UP, THE TICK IS MAKING HIGHER LOWS AND HIGHER HIGHS. THE TICK IS BOUNCING OFF OF THE 2ND SD BTM ON MOST TOUCHES, MOVING MY STOP DOWN TO 1006 @ 11:06, DOWN TO 1004 @ 11:08, DOWN TO 1000 @ 11:10, THE TICK IS STILL MAKING HIGHER LOWS, BUT THE XLF IS LEADING THE WAY LOWER. STOPPED OUT GAIN 925 PTS, I AM TAKING A BREAK, MAY BE DONE FOR THE DAY, A GOOD THAI LUNCH AND A BIT OF SUN SOUNDS GOOD TO ME TODAY! GOOD TRADING TO YOU. SHORT @ 1015 @ 11:32, MY STOP IS 1018, THERE IS A BLOCK OF VOLUME IN THE 1018-1021 AREA THAT SHOULD BE RESISTANCE, AND WE ALMOST GOT UP TO THE A PERIOD LOW IN THE 1018 AREA, THE TICK HIT THE +1000 LEVEL AND REVERSED, MY TARGET IS THE 995'S THE C AND D PEIROD LOW. I AM GETTING READY TO GO TAKE THE AFTERNOON OFF, THIS IS MY LAST TRADE, MY OFFSET LIMIT IS 997.25, STOPPED OUT LOSS 300 PTS, SHORT @ 1019.50 @ 11:50, THE TICK HIT +900, AND WE ARE RIGHT IN THAT VOLUME CLUSTER, AND RIGHT AT THE VWAP MEAN, MY STOP IS 1024, NEAR THE HIGH OF THAT CLUSTER, MOVING MY STOP DOWN TO 1017 @ 11:59, DOWN TO 1013 @12:00, DOWN TO 1008 @ 12:03, OUT @ 1007.25 @ 12:03, SOME PASSIVE BIDS ARE SITTING IN THE 1005 LINE, I THINK WE CAN GET DOWN TO THE LOWS IN THE 995'S, BUT I AM NOT GOING TO WAIT, I AM OUT OF HERE, GAIN 1225 PTS, GOOD TRADING TO YOU. I AM BACK FOR THE LAST BIT OF TRADING THIS AFTERNOON, SHORT @ 996 @ 2:31, MY STOP IS 1000, THE TICK HIT THE +800 LINE WHICH HAS BEEN GOOD PLACES TO SELL SO FAR, THE BUYING DELTAS HAVE BEEN LIGHT ON THE RETRACEMENT. MOVING MY STOP DOWN TO 990 @ 2:44, DOWN TO 985 @ 2:56, STOPPED OUT GAIN 1100 PTS, VOLUME IS ERRATIC, I SHOULD HAVE BEEN QUICKER TO MOVE MY STOP DOWN TO THE 82'S WHEN WE TRADED THE 976'S. THE TICK IS WEAK, SELLING DELTAS ARE PREDOMINATE, LOOKING FOR A HIT IN THE +800 FOR A SHORT, SHORT @ 986 @ 3:04, MY STOP IS 988 ABOVE THE CURRENT L PERIOD HIGH, WE GOT AS HIGH AS +550 ON THE TICK TWICE AND CLOSED LOWER , WE HAVE A LOT OF HITS AT THE -1000 AREA AND THE MARKET COULDNT RALLY BUT JUST 10 PTS OFF OF THE LOW AND ONLY GET AS HIGH AS +550?, MY TARGET IS THE 969 AREA, YESTERDAYS G AND I PERIOD HIGHS. STOPPED OUT LOSS 200 PTS, THERE IS SOME LOW VOLUME IN THE 993'S FORM LAST HALF HOUR ON THE VOLUME AT PRICE CHART, WE JUST HIT THE +800 ON THE TICK TOO, SHORT @ 993 @ 3:09, MY STOP IS 996, MY TARGET IS THE SAME IN THE 969'S AT LEAST, STOPPED OUT, LOSS 300 PTS, SHORT @ 996 @ 3:15,MY STOP IS 998, MY TARGET IS THE SAME, THE 969'S, THE TICK CLOSED RED AT -200 AFTER HITTING THE +900 LEVEL NEAR THE 2ND SD ATM TRADING TO THE TOP OF THAT LOW VOUME AREA I SPOKE ABOUT FROM THE 993-998'S, MOVING MY STOP DOWN TO 994 @ 3:17, STOPPED OUT GAIN 200 PTS, SHORT @ 993.50 @ 3:19, MY STOP IS 996, THE TICK HIT THE +800 LINE AND IS RED, BUYING DELTAS ARE INCREASING THOUGH, STOPPED OUT, VOLUME IS AGIAN ERRATIC, LOSS 250 PTS, SHORT @ 993.50 @ 3:21, MY STOP IS 997, ONE MORE SHOT AT THE SHORT, FINALLY, MOVING MY STOP DOWN TO 993 @ 3:22, DOWN TO 992 @ 3:23, OUT @ 989 @ 3:25, 1992 CAME IN ON THE BID AT THE 987.50 LINE, GAIN 450 PTS, LONG @ 992 @ 3:26, MY STOP IS 987, I THINK WE GO BACK TO THE LARGE CLUSTER IN THE 1012'S, THAT IS MY TARGET, WE DIDNT GET MUCH TRACTION IN THE TICK AND SELLING VOLUME DELTAS ON THE LAST 10 MINUTE COUNTER RALLY, THE K AN L PERIOD LOWS ARE PROBABLY THE LOW FOR THE DAY NOW, MOVING MY STOP UP TO 999 @ 3:28, A NICE RALLY , GREEN VOLUME DELTAS ARE STRONGER NOW, UP TO 1000 @ 3:28, THE TICK IS MAKING HIGHER LOWS FROM THE 20 MINUTES AT THE -1000 LEVEL WHEN WE HIT THE 970'S, MOVING MY STOP UP TO 1004 @ 3:31, STOPPED OUT GAIN 1200 PTS, THAT WAS QUICK. LONG @ 1002.50 @ 3:31, MY STOP IS 1000, THE TICK IS RALLING, GREEN VOLUME DELTAS ARE INCREASING, 1012 IS STILL MY TARGET, MOVING MY STOP UP TO 1002.75 @ 3:32, DAMN STOPPED OUT ON NO VOLUME, I AM DONE, VOLUME IS TO ERRATIC, GAIN 25 PTS, GOOD TRADING TO YOU.WE ARE RIGHT AT THE VWAP MEAN IN THE 1005'S, ONE MORE TRADE, SHORT @ 1004.50 @ 3:36, MY STOP IS 1007, IT DOESNT SEEM THAT WE WANT TO GO BACK TO THE HIGH VOLUME CLUSTER AS BUYING DRIED UP AT THE VWAP MEAN. MOVING MY STOP DOWN TO 1003 @ 3:39, DOWN TO 998 @ 3:39, STOPPD OUT GAIN 650 PTS, MARKET IS ERRATIC, AFTER A NICE ROTATION DOWN, LONG @ 1001.50 @ 3:45, MY STOP IS 999. IT LOOKS LIKE 1012 IS THE TARGET, AFTER 5 MINUTES OF DOWNWARD ROTATIONS TO THE LIGHT VOLUME AREA IN THE 1000 AREA, THE TICK REVERSED. MOVING MY STOP UP TO 1004 @ 3:47, STOPPD OUT GAIN 250 PTS, CANT GET ANY TRACTION, CHOPPY MARKET , THATS IT FOR ME, GOOD TRADING TO YOU. WE JUST HIT THE 1011'S, AT THE VWAP MEAN, SHORT @ 1010 @ 3:47, MY STOP IS 1012, OUT @ 1004 @ 3:55, I LIKE THE VWAP, THE TICK HIT THE +800 THE SAME TIME THE VWAP MEAN WAS HIT RIGHT AT THE 1011'S AND THEN A QUCIK SELL OFF, GAIN 600 PTS, THATS IT! LOL
TOTAL GAIN FOR THE DAY 7775 PTS
10/15
I AM TAKING THE DAY OFF!
10/16
SHORT @ 913.50 @ 9:31, MY STOP IS 915.50, MOVING MY STOP DOWNTO 905 @ 9:34, OUT @ 903.50 @ 9:35, PASSIVE BIDS IN THE 900 LINE. GAIN 1000 PTS, TAKING A BREAK FOR A BIT. SHORT @ 924.75 @ 9:50, MY STOP IS 927, THE TICK IS MAKING LOWER HIGHS, AND THE GRREEN VOLUME DELTAS ARE DECREASING , VOLUME IS ERRATIC, MOVING MY STOP DOWN TO 920 @ 9:56, DOWN TO 918 @ 9:58. STOPPED OUT GAIN 675 PTS, VOLUME IS A BIT ERRATIC FOR ME, TAKING A BREAK, SHORT @ 905.75 @ 10:10, MY STOP IS 908.50, ANOTHER LEG DOWN FROM THE VWAP MEAN THAT I MISSED FROM THE 914'S WHEN IT BROKE BELOW THE MEAN AND RALLIED BACK TO IT, I MISSED IT, MOVING MY STOP DOWN TO 896 @ 10:14, STOPPED OUT GAIN 975 PTS, LONG @ 894 @ 10:20, MY STOP IS 891, THE ES DOJI'D AND THE TICK IS MAKING HIGHER HIGHS. SELLING SEEMED TO HAVE HIT A CLIMAX, MOVING MY STOP UP TO 896, DAMN STOPPED OUT GAIN 200 PTS, FAST MARKET, SHORT @ 896.25 @10:27, MY STOP IS 900, THE TICK HIT THE +500 LEVEL NEAR THE 903'S, BUT AGIAN, I MISSED IT, THE BUYING DELTA WAS SHORT LIVED. MOVING MY STOP DOWN TO 892 @ 10:32 MY TARGET IS THE 870 AREA, THE THE HIGH VOLUME LINE FROM 10/12MOVING MY STOP DOWN TO 889 @ 10:33, OUT @ 887 @ 10:34, 1314 IS SITTING AT THE BID AT 884, AND WE JUST HIT THE -1100 ON THE TICK, WILL REENTER, GAIN 925 PTS, SHORT @ 887 @ 10:36, WE COULDNT EVEN GET ABOVE THE ZERO LINE ON THE TICK BEFORE REVERSING, MY STOP IS 890, MOVING MY STOP DOWN TO 887 @ 10:37, OUT @ 883 @ 10:38, 1429 IS SITTING AT THE BID, GAIN 400 PTS, SHORT @ 885.25 @ 10:39, MY STOP IS 888, WE ARE GETTING 5 POINT COUNTER RALLY ROTATIONS OFF OF THE NEW LOWS OVER THE LAST LEG DOWN, OUT @ 883 @ 10:41, PASSIVE BIDS IN THE 881-882 AREA, GAIN 225 PTS, SELLING DELTAS ARE LOOKING STRONG, BUT WEAKENING OVER THE LAST 5 MINUTES, THE VWAP MEAN IS AT THE 902 AREA. SHORT @ 889.25 @ 10:44, MY STOP IS 892, WE JUST HIT THE +500 ON THE TICK FOR THE FIRST TIME IN THE LAST 25 MINUTES, A GOOD SELLING AREA PREVIOUSLY, THE TICK IS MAKING HIGHER LOWS THOUGH, AND SELLING IS DROPPING OFF, IF WE GET STOPPED OUT, THE 902'S LOOK LIKE THE NEXT PLACE TO SHORT., THE TICK IS REVERSING AND SELLING IS PICKING UP, MOVING MY STOP DOWN TO 888 @ 10:45, DAMN STOPPD OUT GAIN 125 PTS, SHORT @ 890 @ 10:49, MY STOP IS 892, STOPPED OUT LOSS 200 PTS, THE TICK HIT THE +600 LINE AND BUYING DELTAS ARE NOT THAT LARGE, BUT IT DIDNT WORK, SHORT @ 892 @ 10:50, MY STOP IS 895, TRY THIS AGIAN, THE TICK IS MAKING A LOWER HIGH, AND SELLING IS PICKING UP, MOVING MY STOP DOWN TO 894 @ 10:51, I MISSED THE FACT THE THE 884 LEVEL WAS SUPPORT FROM THE 10/12 PROFILE AT ITS G PERIOD HIGH, SURE ENOUGH WE BOUNCED FROM THE 884'S, MOVING MY STOP DOWN TO 891 @ 10:55 , DOWN TO 885 @ 10:58, DOWN TO 881 @ 10:59, THE 850 AREA, THE LOW END OF VALUE ON 10/12, MAY VERY WELL BE THE DESTINATION TRADE, MOVING MY STOP DOWN TO 878 @ 11:01, DOWN TO 875 @ 11:02, STOPPED OUT GAIN 1700 PTS, SHORT @ 874.25 @ 11:03, MY STOP IS 877, PASSIVE OFFERS IN THE 875S, THE TICK IS WEAK AND SELLING IS INCREASING, STOPPED OUT LOSS 275 PTS, SHORT @ 876 @ 11:05, BUYING IS LIGHT, THE TICK HIT THE +300 LEVEL IN THE 877'S THE 2ND SD ATM IS ONLY AT +400!, MY STOP IS 878, DAMN STOPPED OUT AGIAN, , LOSS 200 PTS, WE DID IN FACT RALLY OFF OF THE 870 AREA, THE HIGH VOLUME LINE I SPOKE ABOUT. SHORT @ 877 @ 11:08, ONE MORE TIME, MY STOP IS 880, MY TARGET IS THE 850'S, MOVING MY STOP DOWN TO 876 @ 11:09, SELLING IS DRYING UP DOWN HERE, THE TICK IS TILL WEAK THOUGH, THE XLF IS STEADY. DOWN TO 874 @ 11:12, DOWN TO 871 @ 11:12, DOWN TO 870 @ 11:13, STOPPED OUT GAIN 700 PTS, TAKING A BREAK, SHORT @ 880.50 @ 11:26, MY STOP IS 882, PASSIVE OFFERS IN THE 881 LINE, THE TICK IHT THE 2ND SD ATM AT THE +400 LEVEL, TIME FOR THE SELLOFF TO CONTINUE! A NICE RALLY OFF OF THE LOW, THERE WAS A DOJI IN THE XLF THAT APPEARED WHILE I WAS AWAY, THAT WOULD HAVE BEEN NICE TO CATCH! THERE IS ALSO A GOOD BLOCK OF VOLUME IN THE C PERIOD IN THE 884-887'S, MOVING MY STOP DOWN TO 880 @ 11:28, DOWN TO 879 @ 11:29, STOPPED OUT GAIN 150 PTS, THAT WAS DISSAPPOINTING, LOOKING FOR REENTERY, WE STOPPED RIGHT BLOCK OF VOLUME FROM THE 872-874'S IN THE D PERIOD THAT SENT US THE THE 881'S, I MISSED THAT TOO, TAKING A BREAK, SHORT @ 892.50 @ 11:45, BUYING VOLUME IS DRYING UP, THE TICK IS MAKING LOWER HIGHS AT THE 2ND SD ATM, AND THE VWAP MEAN IS RIGHT ABOVE US AT THE 895 AREA WHICH IS ALSO A LOW VOLUME AREA ON THE VOLUME AT PRICE CHART, MY STOP IS 895, MOVING MY STOP DOWN TO 891 @ 11:51, STOPPED OUT, AMAZING, GAIN 150 PTS, SHORT @ 898 @ 11:55, WE ARE RIGHT AT THE A PERIOD LOW, AND JUST ABOVE THE VWAP MEAN, MY STOP IS 900, THE TICK IS IN THE PROCESS OF REVERSING OFF OF THE 2ND SD ATM, SELLING IS PICKING BACK UP. MOVING MY STOP DOWN TO 897.75 @ 11:57, STOPPED OUT AGIAN? WTF? RIGHT TO THE TICK? GAIN 25 PTS, SHORT @ 896 @ 11:58, MY STOP IS 898, THIS MARKET IS NUTS, MOVING MY STOP DOWN TO 893 @ 12:04. DOWN TO 890 @ 12:08, STOPPED OUT GAIN 600 PTS, I AM DONE FOR A WHILE IF NOT THE DAY, MARKET HAS WORE ME OUT! GOOD TRADING TO YOU. THE ES JUST DOJI'D, LONG @ 891 @ 12:10, MY STOP IS 888, MOVING MY STOP UP TO 899 @ 12:12, THAT WAS QUICK, THE TICK IS MAKING HIGHER HIGHS, THE 2ND OF THE VWAP IS THE 925 AREA, THAT IS MY TARGET SINCE WE BROKE ABOVE THE VWAP MEAN, MOVING MY STOP UP TO 904 @ 12:15, UP TO 911, STOPPED OUT GAIN 2000 PTS, THIS IS TO MUCH, THIS MARKET IS NUTS! I AM OUTTA HERE, GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 9175 PTS
10/17
SHORT @ 945.25 @ 10:06, THE GREEN VOLUME DELTAS ARE DECREASING THE TICK HIT THE +850 AREA AT THE TOP OF YESTERDAYS CLOSING RANGE, MY STOP IS 948, MOVING MY STOP DOWN TO 941 @ 10:12, STOPPED OUT GAIN 425 PTS, LONG @935 @ 10:15, WE JUST HIT THE VWAP MEAN AND THE TICK IS STRONGER THAN WEAKER, SELLING DELTAS ARE LESS THAN BUYING DELTAS, MY STOP IS 932, MOVING MY STOP UP TO 937 @10:23, OUT AND REVERSE @ 943 @ 10:27, THE ES JUST DOJI'D AND 1523 CAME IN AT THE 944 LINE, GAIN ON THE LONG 800 PTS, NOW SHORT @ 943, MY STOP IS 945, MOVING MY STOP DOWN TO 941 @ 10:28, DAMN STOPPED OUT GAIN 300 PTS, THAT WAS QUICK, VOLUME IS AGIAN ERRATIC. LONG @935 @ 10:35, WE JUST HIT THE VWAP MEAN AGAIN, AND THE VOLUME IS NEUTRAL, MY STOP IS 933, MOVING MY STOP UUP TO 938 @ 10:41, UP TO 942 @ 10:44, UP TO 944 @ 10:46, UP TO 948 @ 10:48, MY TARGET IS 955 THE LARGE VOLUME LINE IN THE 10/15 PROFILE IN THE 955-961'S, MOVING MY STOP UP TO 950 @ 10:50, OUT @ 952 @ 10:52, PASSIVE OFFERS SITTING IN THE 953 LINE, GAIN 1700 PTS, THE XLF IS LAGGING BUT THE TICK IS STRONG. SHORT @ 951.50 @ 10:54, THE TICK IS REVERSING, I SHOULD HAVE REVERSED SEEING THE 1509 COME IN AT THE 953 LINE, MY STOP IS 954M MY TARGET IS THE 943'S, THAT IS A LOVE VOLUME ARE IN THE CURRENT C PERIOD, AND IN THE B PERIOD A LARGE BLOCK OF VOLUME THAT SENT US HIGHER. MOVING MY STOP DOWN TO 949 @ 10:57, STOPPED OUT GAIN 250 PTS, LONG @ 950.50 @ 11:04, MY STOP IS 947, THE SELLING DELTAS ARE DRYING UP AND THE TICK IS MAKING HIGHER LOWS, I THINK THE DESTITNATION TRADE MIGHT BE THE 981'S THE BOTTOM OF THE GAP BETWEEN 10/14 AND 10/15, MOVING MY STOP UP TO 951 @ 11:06, MOVING MY STOP UP TO 953 @ 11:07, OUT @ 956.25 @ 11:09, THE TICK IS REVERSEING AND 1576 CAME IN PASSIVELY ON THE OFFER, GAIN 575 PTS, SHORT @ 955 @ 10:10, MY STOP IS 958, BETWEEN THE PASSIVE OFFERS, AND THE TICK HITTING +900 AND CLOSING AT +200, AND THE BUYING DELTAS ARE LIGHTER THAN THE LAST TIME UP, I THINK WE CAN ROTATE DOWN TO THE D PEIROD LOW IN THE 947'S, THAT IS MY TARGET, MOVING MY STOP DOWN TO 954 @ 11:14, DOWN TO 951 @ 11:16, OUT @ 949 @ 11:17, WE HIGT THE 947.50 GAIN 600 PTS, LONG @ 944 @ 11:23, WE JUST HIT THE HIGH OF THE LARGE VOLUME BLOCK AT THE B PERIOD IN THE 943'S, THE ES ALSO LOOKS TO BE DOJI'D, AND THE TICK IS MAKING HGHER LOWS, MY STO IS 942, MY TARGET IS THE 951'S IN THE MIDDLE OF THE D PERIOD THERE IS A HIGH VOLUME LINE, THE VWAP MEAN IS AROUND THE 940 AREA, THAT MAY BE TESTED ALSO. STOPPED OUT LOSS 200 PTS, LONG @ 943 @ 11:28, MY STOP IS 941, GOT STOPPED OUT RIGHT TO THE TICK ON THE LAST TRADE! STOPPED OUT LOSS 200 PTS, WE JUST HIT THE VWAP MEAN WITH A TICK THAT IS RELATIVELY STONG, LONG @ 940.50 @ 11:39, MY STOP IS 938.50, 1201 CAME IN AT THE 940 LINE. THE TICK IS STILL MAKING HIGHER LOWS, BUT THE XLF IS LEADING US LOWER, MIXED SIGNALS. MOVING MY STOP UP TO 942 @ 11:45, MARKET CANT GET TRACTION, STOPPED OUT GAIN 150 PTS, RIGHT TO THE TICK, LONG @ 944 @ 11:50, MY STOP IS 941, THE TICK IS MAKING HIGHER LOWS, AND SELLING VOLUME DELTAS ARE LIGHT, AND WE ARE SLOWLY MOVING AWAY FROM THE VWAP MEAN. MY TARGET IS THE D PERIOD HIGH OR HIGHER, MOVING MY STOP UP TO 945 @ 12:03, UP TO 946 @ 12:09, THE MARKET IS DEAD, UP TO 947 @ 12:10, UP TO 949 @ 12:11, STOPPED OUT GAIN 500 PTS, SHORT @ 953 @ 12:29, MY STOP IS 955, PASSIVE OFFERS SITTING IN THE 953'S, AND THE TICK DOJI'D AT THE +900 LEVEL, VOLUME IS LIGHT UP HERE ALSO. THE ES JUST DOJI'D ALSO ON THE 5 MINUTE CHART, MOVING MY STOP DOWN TO 952 @ 12:36, MY TARGET IS THE 946'S, OUT @ 951 @ 12:39, 1002 PASSIVE BIDS CAME IN AT THE 948.75, LINE WE CANT GET ANY TRACTION, GAIN 200 PTS, LONG @ 953.50 @ 12:47, MY STOP IS 951, THE TICK HIT THE -600 LEVEL WHEN I GOT STOPPED OUT ON THE LAST TRADE, HAD A NICE LEG UP AND GREEN VOLUME DELTAS ARE COMING IN, THE 948 AREA IS RIGHT ABOVE THAT VOLUME CLUSTER THAT I SPOKE ABOUT EARLIER, AND THE -600 LEVEL IN THE TICK HAS BEEN GOOD BUYING OPPORTUNITIES. MOVING MY STOP UP TO 957 @ 12:51, MY TARGET IS STILL THE 981'S, THE TICK IS STONG, MAKING HIGHER LOWS, AND HITHER HIGHS, MOVING MY STOP UP TO 958 @ 12:52, NOW WE ARE STARTING TO GET SOME BUYING INTEREST AFTER A BORING MARKET FOR THE LAST HOURS, MOVING MY STOP UP TO 962 @ 12:55, THE 971-973 COULD BE RESISTANCE, THIS IS THE B PERIOD HIGH FROM 10/15. MOVING MY STOP UP TO 965 @ 12:56, THE TICK JUST HIT THE +1100 AREA, AND 1248 CAME IN ON THE PASSIVE OFFER AT THE 969 LINE, OUT @ 965.75 @ 12:57, GAIN 1225 PTS, I AM DONE FOR THE DAY, GOOD TRADING TO YOU. PASSIVE BUYING COMING IN AT THE 964-965'S, LONG @ 966.75 @ 1:00, MY STOP IS 964. STILL LOTS OF GREEN VOLUME DELTAS, THE TICK HIT THE -400 LEVEL WHEN THE PASSIVE BIDS CAME IN, MOVING MY STOP UP TO 970 @ 1:01, DAMN STOPPED OUT, GAIN 325 PTS, THE TICK HIT THE +1100 LEVEL AND REVERSED, OH WELL, I AM GOING TO LUNCH, HAVE A GOOD WEEKEND, GOOD TRADING TO YOU.
TOTAL GAIN FOR THE DAY 6650 PTS
10/22
I AM GOING TO ATTEMPT TO TRADE AT SOME POINT DURING TODAY. I HAVE BEEN TRYING TO PRODUCE REAL TIME TRADING VIDEOS THE LAST TWO DAYS. SO FAR IT HASNT WORKED VERY GOOD, CAMTASIA USES AN ENORMOUS AMOUNT OF RESOURCES AND IF THERE IS A CONFLICT, I LOOSE MY DTN IQ DATA STREAM. FOR SOME REASON I AM ONE OF A FEW THAT DTN IQ HAS AN ISSUE WITH WHEN I TRY TO DOWNLOAD DATA DURING THE DAY TO REFRESH MY CHARTS ON A REBOOT. I CAN ONLY UPDATE THE CHARTS AFTER THE CLOSE. IF I CANT GET EITHER THE FEED TO WORK DURING THE DAY, OR POSSIBLY PUT A FASTER PROCESSER IN THE BOX WITH ANOTHER GIG OF RAM, I AM GOING TO HAVE TO GIVE UP THE IDEA OF A REAL TIME VIDEO OF MY TRADING, SORTA SUCKS, BUT I HAVENT GIVEN UP YET. I AM TRYING TO LAUNCH THE VIDEO SERIES NAMED "A GREAT DAY TRADING" SOME TIME THIS YR, BUT IT SEEMS THAT MAY NOT BE POSSIBLE. DEPENDING ON THE OUTCOME FOR THE REST OF THE WEEK, I MAY OR MAY NOT HAVE ANY TRADES. THIS WEEKEND I WILL WORK ON INCREASING THE POWER OF THE BOX, AND PUT A 4000+ AMD PROCESSER WITH 4 GIG OF RAM, THAT SHOULD GIVE ME A 25% INCREASE IN ABILITY. I FOUND OUT THAT MOST SOFTWARE INCLUDING MARKET DELTA ONLY USES ONE THREAD, SO EVEN IF YOU HAVE A DUAL CORE PROCESSER THAT RUNS AT 3, YOU ARE ONLY RUNNING AT 3, NOT TWICE THAT FOR A DUAL CORE. HENCE WE WILL GO WITH A FASTER SINGLE PROCESSER, UNTIL THEY WORK WITH BOTH CORES. IF THE VIDEO IS SUCCSESSFUL, I WILL POST A LINK. IF I CANT GET IT TO WORK BY FRIDAY, I WILL GO BACK TO MY SNIPPETS.
GOOD TRADING TO YOU
SO FAR SO GOOD ON THE VIDEO, IT IS A BIT LONG SO FAR 37 MINUTES, ITS BEEN A TERRIBLE TRADING DAY(LOL) CONSIDERING MY FIRST PRODUCTION FOR "A GREAT DAY TRADING" !), MY CONCERN IS THE LENGTH, AS BANDWITH IS EXPENSIVE, BUT WILL POST A LINK TO SCREENCAST HERE WHEN IT IS PRODUCED. TODAY I TRADED WAY MORE THAN LATELY SO THE LENGHT WILL PROBABLY BE SHORTER IN THE FUTURE, NO LOCK UP OR FATAL ERRORS SO FAR. WHAT IS COOL ABOUT THE VIDEO IS IT CATCHES EMOTION, WHERE THE SNIPPETS DONT IN THE SAME MANNER. HERE IS THE LINK, THERE IS ONLY SO MUCH BANDWITH AVAILABLE DURING MY TRIAL, SO FIRST COME FIRST SERVED UNTIL I BUY A BLOCK OF BANDWITH. TODAY WE TRADED WAY MORE THAN NORMAL, 35 TRADES, 18 PTS PER CONTRACT GAINED, A VERY VEXING DAY, WENT FROM POSITIVE TO NEGATIVE TO POSITIVE TO NEGATIVE TO POSITIVE KINDA DAY, IN THE FUTURE, THE VIDEOS WILL BE MUCH SHORTER WITH BETWEEN 10-15 TRADES MAX. PLEASE EXCUSETHE LANGUAGE, IT IS ALL REALTIME. HERE IS A COPY IN A DIFFERENT FORMAT OF THE VIDEO THAT DIDNT WORK LAST NIGHT.THERE WERE 35 TRADES TOTAL TODAY.
A GREAT DAY TRADING 10 22 2008
TOTAL OF GAIN OF 18 PTS PER CONTRACT
GOOD TRADING TO YOU.
10/23
HERE IS THE MORNING SESSION VIDEO, IT IS ABOUT 25 MINUTES LONG, HAS 11 TRADES WITH A TOTAL OF 19.5 POINT GAIN PER CONTRACT TOTAL. I WILL DO ANOTHER VIDEO OF THE AFTERNOON SESSION IF I GET EVERYTHING IN ORDER. I UNDERSTAND FOR SOME THAT THE VIDEO FROM YESTERDAY DID NOT FUNCTION PROPERLY, IF YOU COULD DROP ME AN EMAIL AND LET ME NOW IF THAT WAS THE CASE IF YOU TRIED TO VIEW IT, I WOULD APPRECIATE IT! DAYTRADINGFUTURES@TAMTA.NET
HERE IS THE VIDEO FOR THIS MORNING. I WILL BE OUT THE REST OF THE DAY. THERE WERE 11 TRADES TOTAL TODAY.
TOTAL OF GAIN OF 19.5 PTS PER CONTRACT
GOOD TRADING TO YOU.
10/24
WE ARE PRODUCING OUR FIRST VIDEO FOR THE DAY NOW, WE HAVE TAKEN FOUR TRADES, WITH THE LAST STILL OPEN. WE ARE DOWN 16.5 PTS, EXCLUDING OUR OPEN TRADE WHICH IS PROFITABLE THUS FAR.
A GREAT DAY TRADING 10 24 2008 P1
WE HAVE TAKEN ANOTHER 11 TRADES WITH THE LAST ONE STILL OPEN, AND ARE DOWN 12 PTS PER CONTRACT, BEEN BACK AND FORTH THUS FAR.
A GREAT DAY TRADING 10 24 2008 P2
A GREAT DAY TO SEE A COMPLETE BREAKDOWN OF ALL TRADING PHYSCOLOGY THAT I THOUGHT I LEARNED. THERE WERE 38 TRADES TOTAL TODAY. WITH A
A GREAT DAY TRADING 10 24 2008 P3
TOTAL OF 15 PTS LOSS PER CONTRACT ON THE DAY.
GOOD TRADING TO YOU.
10/29
WE HAVE TAKEN TWO TRADES FOR A GAIN OF 8.50 PTS PER CONTRACT IN THIS SEGMENT.
A GREAT DAY TRADING 10 29 2008 P1
WE HAVE TAKEN ANOTHER 4 TRADES WITH MEDIOCRE RESULTS, AND A LOSS IN THIS SEGMENT OF 5 PTS PER CONTRACT IN THIS SECOND SEGMENT
A GREAT DAY TRADING 10 29 2008 P2
WE HAVE TAKEN ANOTHER 9 TRADES WITH A GAIN OF 30 PTS PER CONTRACT, INCLUDING TRADES AFTER THE FOMC ANOUNCEMENT DURING THIS 3RD SEGMENT. THATS IT FOR ME TODAY, THERE WERE A TOTAL OF 15 TRADES FOR THE DAY.
A GREAT DAY TRADING 10 29 2008 P3
TOTAL GAIN OF 33.5 PTS PER CONTRACT ON THE DAY.
GOOD TRADING TO YOU.
10/30
WE HAVE TAKEN FIVE TRADES FOR A GAIN OF 3.75 PTS PER CONTRACT IN THIS FIRST SEGMENT
A GREAT DAY TRADING 10 30 2008 P1
WE HAVE TAKEN FOUR TRADES FOR A GAIN OF 17.5 PTS PER CONTRACT IN THIS SECOND SEGMENT
A GREAT DAY TRADING 10 30 2008 P2
TOTAL GAIN OF 21.25 PTS PER CONTRACT ON THE DAY.
GETTING READY FOR A PARTY TOMORROW NIGHT, I SEE IT WAS A WILD LAST HOUR, OH WELL, MISSED OPPORTUNITY AGIAN FOR GAINS OR LOSSES! I MISSED THE AFTERNOON SELLOFF YESTERDAY TOO. OH WELL, MAYBE IT WAS BETTER THAT I WAS PULLING WEEDS! WHO KNOWS, I WILL LOOK AT THE CHARTS CLOSER LATER. A QUICK GLANCE THOUGH, I SEE A LOT OF 10 POINT 5 MINUTE BARS! I AM GOING TO PROBABLY TAKE TOMORROW OFF ALSO TO GET SUPPLIES AND FIRE WOOD FOR THE PARTY. BACK TO THE YARD AND REAL WORK! HAVE A GOOD HALLOWEEN!
GOOD TRADING TO YOU.
10/31
WE HAVE TAKEN ONE TRADE FOR A GAIN OF 11 PTS PER CONTRACT IN THIS FIRST AND LAST SEGMENT. TIME FOR MORE PARTY PREPARATIONS.
A GREAT DAY TRADING 10 31 2008
WE HAVE ANOTHER SEGMENT WITH TWO MORE TRADES FOR AN ADDITIONAL 15.5 PTS PER CONTRACTS THAT WE TOOK IN BETWEEN OUR WORK TODAY. I AM DONE FOR THE DAY, AS I AM BEHIND MY PARTY PREPARATION SCHEDULE! THERE WERE A TOTAL OF 3 TRADES TODAY.
A GREAT DAY TRADING 10 31 2008 P2
TOTAL GAIN OF 26.5 PTS PER CONTRACT ON THE DAY.
GOOD TRADING TO YOU.