Tuesday, January 22, 2013

Jan 22

Last week took some aggressive positions.

LE long @ 1yr POC & 90d POC.

Long 6J - legged in along the way down. Saw SERIOUS heat at one point. RSI Divergence on 1hr chart gave confirmation. Still long 1 @ .011090

Bought .011201, sold .011195
Bought .011169, sold .011213
Bought .011128, sold .011267
P&L = -6t, +44t, +139t total 177t or $2212.5
Runner still +194t = $2425.

Similar trade, short NKD. Also took a bit of heat, but finally got the pullback I was seeking.
Sold 10905, 10910. Bought 1 back @ 10760, 90d POC +$725. Runner still going. Watching Jan VAL for support levels. Runner @ +300 (60t) = +$1500.

Still short ES @ 1474. Good signal @ 90d VAH. nPOC still target on one off daily MP and Jan POC @ 1456 2nd target.

Eyeing a NQ short. Clearly a strong resistance level. RSI divergence. H&S topping pattern on daily. Offering 2 @ 2746.75. Would leg into more at higher prices; or add on uturn sell signal.

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