Today on OPG there was nothing to do, no ideas and signals, so i didn't do anything.
Intraday :
TIF : Tiffany & Co
Sector: Services > Industry: Retail (Specialty)
Selling after breaking yesterday's low, with little risk. Share ходит немного неадекватно и дергано, for this on 1 green candle covered half of the position and it rose a little high from the bottom. In general, not a bad trade, sorry for the whole position could not sit out.
Potential: 1,5$ ( real 1$)
Risks: ~10C
Ratio : 1 to 10
Mistakes: all is well :)
PBG : The Pepsi Bottling Group, Inc.
Sector: Consumer/Non-Cyclical > Industry: Beverages (Nonalcoholic)
The worst trades of the day were here., in the beginning sold in the hope of a miracle, and then bought without much hope for growth.
Mistakes : we need to stop shorting shares that opened with a very large GAP, they rarely go down after it.…
GG : Goldcorp Inc. (USA)
Sector: Basic Materials > Industry: Gold and Silver
Zolotishko merged the previous days, from the opening it began to grow and thought that this was a pullback after a few days of falling. .
Potential: 2$ ( real 1$)
Risks: ~10C
Ratio : 1 to 10
Mistakes: Such a pullback was to be expected., but somehow doing 40C to go back to zero did not want to, decided to fix the profit .
BEFORE : City National Corporation
Sector: Financial > Industry: Regional Banks
The action went well and a lot in a day, and I missed all this movement. Shortil after breaking the bottom, in anticipation of its closure in Low Day, but unlucky.
Potential: 1$ ( real 50C)
Risks: ~10C
Ratio : 1 to 5
Mistakes: Late short. It was necessary to notice during the day and make money..
WY : Weyerhaeuser Company
Sector: Basic Materials > Industry: Forestry and Wood Products
I lost the most money here.. Initially, there was a bad price, it is unclear whether the movement will be or not, so I also gained position while it was standing., well, came out all the way in the high and she went, classic )))
Potential: 1$
Risks: ~20C
Ratio : 1 to 5
Mistakes: Bad price, no clear trend, large position . unjustified risks , it all cost me money and no small. Everything was done the other way around :-(
MOC:
That's what made me happy.. Embroidered sell and after the update everything flew down and so on until closing. I stepped on something and typed a position adding 100% to positions, so the big position grew and each time I worsened my average price. It is necessary to load on another, so that the positions are the same in 3 захода весь BP recruited, not as I did. Then the average price will not deteriorate much..
Results: In intradays I had good trades, but a couple of stupid and unjustified trades took all the profits. ON MOC could be earned in 3-4 times more if loaded differently. But the day is in the black and it can not but rejoice, the main thing I have drawn conclusions and will try not to repeat the mistakes.
Trade date : 20 April 2009