4 day flat

Today I was late due to school and could not properly prepare for the opening, therefore, I have not traded for a very long time since the beginning of trading.
On OPG there was nothing to do, the market did not particularly gap anywhere.

Intraday:
WMS : WMS Industries Inc.
Sector: Services => Industry: Casinos and Gaming
In this promotion, I left all the money today =
She is very twitchy and the risks are big, so also the volume was included in it. At the first short, the stop got on ~13With worse, generally fucked up. The second time you didn't have to enter at all, bad price, bad entry point and big risks.
Potential: 1.5$
Risks: 10S and 15S
Ratio : 1 to 10
Mistakes: Bad entry point, on the second call, stock очень дерганная и можно было ожидать такого, the market did not go in my direction.

WMS : WMS Industries Inc.

YEAR : Rockwell Automation
Sector: Technology => Industry: Electronic Instr. and Controls
All day I watched her fly away, how she turned around decided to make a short. Late saw and entered at a bad price, in general, it's better not to trade, recoil is very small.
On 1 uptick came out because I don't trust such stocks and try not to trade.
Potential: 40With
Risks: ~ 15C
Ratio: 1 to ~2.5
Mistakes: Bad price, very bad ratio, there is nothing to catch here at all, reversals do not need to trade such.

ROK : Rockwell Automation

LEG : Leggett & Platt, Inc.
Sector: Consumer Cyclical => Industry: Furniture and Fixtures
Generally stupid trade, there is no potential and there is nothing to catch, action for a day 30C runs.
Mistakes: Clouding of mind and moronism ))

LEG : Leggett & Platt, Inc.

CMI : Cummins Inc.
Sector: Capital Goods => Industry: Misc. Capital Goods
Very incomprehensible stock, cervical, can go, maybe get up and range
Came in at a bad price and in a bad location.
Potential: 40With
Risks: ~ 10C
Ratio: 1 to 4
Mistakes: Little potential , no clear trend, bad entry point.

  Understand the difference between replenishing a losing position and trading on a scale.

CMI : Cummins Inc.

goat : D.R. Horton, Inc.
Sector: Capital Goods => Industry: Construction Services
Sold on a bottom break, but that's why it's not clear, the action is without potential and runs at 50C per day, there is no trend and no movement.
Potential: 40With(If there is a miracle)
Risks: ~ 10C
Ratio: 1 to 4 (1 to 2 rather)
Mistakes: No trend, the stock does not go anywhere, no potential.

DHI : D.R. Horton, Inc.

R : Ryder System, Inc.
Sector: Services => Industry: Rental and Leasing
The stock fell by 5.5$ from yesterday's close, they killed her as much as they could and she began to draw the bottom. I bought it when more or less the bottom was formed .
Potential: 1.5 $
Risks: ~ 13C
Ratio: 1 to 11
Mistakes: Should have bought more along the way, but the whole day did not go well decided to leave everything as it is.

R : Ryder System, Inc.

MOC :
The market was flat and the weak came out , so I turned off the terminal and went home.

Results: Something I stock without potential and in bad places to take. I was saved only 1 normal trade, which allowed to close in a flat

Trade date : 08 April 2009

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