I ended up selling XIV for a minor profit in the middle of my confusion but I bought back again once there was more clarity. So I'll log the first one as a final trade and the second one as a new one.
Main S&P 500 Trends
Short Term Trend = Bullish
Medium Term Trend = Bearish
Long Term Trend = Bullish
Long Term Portfolio
Short Term Trading Strategy
Short Term Trend = Bullish
Medium Term Trend = Bearish
Long Term Trend = Bullish
Long Term Portfolio
- 100% Long in Red Chips traded in HSI (Mainland China stocks traded in Hong Kong).
Short Term Trading Strategy
- Bought 1000 XIV @18.80 as of 12/05/2012 on margin -
- Bought 1000 XIV @18.41 as of 12/04/2012 on margin - Closed @18.63 on 12/05/2012. = +0.22
- Bought 500 VXX @29.23 on 12/03/2012 - Closed @30.12 on 12/03/2012. = +0.89
- Bought 500 VXX @30.77 on 11/23/2012 - Closed @29..68 on 11/27/2012. = -1.09
- Bought 500 VXX @31.54 on 11/20/2012 - Stopped out @31.11 on 11/21/2012. = -0.43
- Closed position 500 @ 18.26 on 11/20/2012. Sold 500 @ 17.79, raised stop to break even on the other 500 as of 11/19/2012. Bought 1000 XIV @15.98 as of 11/15/2012 on margin - position trade cost improvement 4 cents, so net cost $15.94 as of 11/16/2012 - Profit = $2.05
- Bought 1000 XIV @16.88 as of 11/14/2012 on margin - Stopped out @ 16.66 on 11/14/2012. = -0.22
- Bought 1000 XIV @15.67 as of 11/08/2012 on margin - sold 1000 XIV @ 16.25 on 11/12/2012 = +0.58
- Margin positions in Gold initiated 11/06/2012.
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