Teaching mine on the new site is quite painful)) And breaks my mosk))
Here's an example, last trade:
Long JOSB 30 November..
I bought it right before some corporate news..
The logic was what? I am good at predicting the index.. Along Nasdaq I had a system of growth.. ie. the main session was supposed to open with a gap up.
But for the night in futures, I did not want to go to long, there somehow a signal to an adequate input did not happen, that's why:
I find a very strong long with a strong trend… Trend from her friend, bleat..
Then I buy with the expectation, that under the pretext of some kind of news thread it heaps up more, than most other papers)) well, she seems to be strong).
Eventually: NASDAQ Fucked The Next Day A Powerful Gap Up, as i expected, and the stack opened in the opposite direction)))) And right on my foot)
Eventually, on the futures, the entry into the long was shitty and I ended up earning up in 2 times less, than lost on shares))) Good Job!)
By the way, THOSE, which i bought, sold in the database, in the end I bought it anyway and left – still fired))
But the profit on it is nonspecial in general..