insyte journal may2011


holding es short from 1343.50 for overnight trade. S/L at 1349.50. Target 1338.50. one contract.
1st trade: buy @1340 in o/n session. if it triggers, take profit at 1343.

2nd trade: buy @ 1349 for a target to 1350.5

Both have S/L 3 points below buy.
i wouldn't mind receiving your signals on my email if you don't mind...i will send you my address to your mypivots inbox

thanks


Originally posted by insyte

been enjoying posting here. however it takes more time than i can afford and is sometimes distracting too. so tomorrow is the last day for pre-buy/sell signals. if anyone is interested i can send signals on private mail or im. let me know.
o/n trade triggered at 1349 and closed at 1350.5 for +1.5 pts. flat for now.
nice to be in a business that makes money even when you are asleep!
going long @1344.5 first lot

going long at 1340.5...second lot

target 5 points. S/L 5 points
$ ramping and markets tanking. looks like i am on the wrong side of the market.
10 pts. loss on the two trades as stops hit. dollar rise and inflation expectation is spooking the markets today. tricky to be long this market.
Originally posted by insyte

10 pts. loss on the two trades as stops hit. dollar rise and inflation expectation is spooking the markets today. tricky to be long this market.


I didn't play today for similar reasons. Just sat and watched. In general, seems you do alright though, I think you'll rebound.

Best wishes!
market trying to carve out a bottom. long @1336
close @1340; S/L at @1331
moving s/l to 1334
or by at 1344.5 to tgt 1347.5