Friday, August 28, 2015
The layout for this year
Here is how my system will be displayed. It is a technical recount and forward looking statement for these assets/securities
Nasdaq
AAPL
Vix Index
Australian Dollar
Euro/Dollar
Gold
The individual sectors of the market
XLF
XLP
XLV
XLB
XLU
*select strong issues of the stock market with high relative strength
Tuesday, August 25, 2015
Wild Swings
This blog will be more graphic in form, also it can be used for me in preparing for my CMT level 3 exam. This is my active publication of trading outcomes, and it will observe my progress in reaching my short term goal of $800,000 in assets and an income portfolio that produces $100,000 in positive cash flow.
What I did right?
I increased my hedge against any further upside, I did acquire more of something that pays a dividend: its GORO, gold resources corporation
What I did wrong?
I didn't trade in my futures account at all. I didn't take any of the points higher on the upside or the downside
What did I learn?
I learned that even small actions, as in 1 contract trades can do a world of good even if they earn 10 points, and to be peaceful about whatever the outcome turns out to be
How can I improve?
My improvement will come in time as I develop this consistency of being less emotional and taking gradual steps toward further growth.
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