A Wrap Up Of My Trading Frenzy
Today was a wild day. I have so much confidence in my intraday signals that I’m buying and selling like crazy.
Covered my EGO short @ 6.94 for a 9% gain
Sell DXO @ 3.09 for 5% gain
REBought DXO @ 3.19
Sold CBI 10.31 for a gain of 2.1% gain
Bought SRS @ 55.39 / Sold @ 54.16
Bought TZA @ 47.57 / Sold @ 46.66
Sold Half APWR @ 4.94
Bought ALD @ 3.12
and tripled up @ 3.18 and sold half @ 3.44 for 8.8% gain and then sold the other half @ .65 for a 15.5% gain
Sold DXO @ 3.23 for a 1.2% gain (mistake as it hit 3.44).
Bought NG @ 1.67 / Sold half @ 1.8 for a gain of 7.7% / the other half @ 1.84 for a gain of 10.1%
REbought APWR @ 5.02 / Sold 5.42 for 8% gain
Bought AHT @ 1.37 / Sold @ 1.34
Bought GMO @ 1.32 / Sold @ 1.37 for a 3.7%ish gain
Bought SOLF @ 5.61 / Sold @ 5.84 for a 4% gain (had no reason to sell as it went higher)
Bought MTL @ 4.78 / Sold 4.77
Bought SPF @ 1.96 / Sold 1.94
Sold JRCC @ 18.18 for a gain of 33%, 30%
Sold YGE @ 6.74 on the morning weakness (MISTAKE again as there was no reason for the dump and I paid for it as YGE popped again!) gain of 4.6%
Bought SKF @ 106.74 / Sold @ 103.31
Sold APWR for my other accounts that were in the range of 22%-32%.
Bought FAS @ 26.16 / Sold @ 25.65
Bought CBI @ 10.94
Bought PALM @ 3.21 (new smartphone being revealed I think Thursday)
Short URE @ 5.83
Short EGO @ 7.22
Short PAAS @ 16.6
Holding CPST, DAR, CX, CBI, PALM
Short EGO, URE, PAAS
This activity was spread across 4 accounts, but most of it is from my main trading account. Alot of commission fees, but gains made those look like pennies.
I went short NDX and RUT at the close. I want to get back into APWR after the pullback tomorrow or even into Wednesday.
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