.....current fund positions
wk 1 -$17,255.00 --per 1000 shares.....or 1 lot FX
wk 2-$23,700.00 --per 1000 shares.....or 1 lot FX
--------------(notice the 6:1+ risk /reward ratio) per 1k shares
- ss$BAX+1pt (P&L +1100)
$MOS+1.5(P&L +1500)
$TLT+2.1 (P&L +2100)
buy $HON 31.60 stop 30.89covered +3.2 (P&L +3200)
MAY29-coverspot, +3.5 (P&L +3500)cern, +2.1(P&L +2100)ms, +1(P&L +1000)ibm,+1.75(P&L +1750)bby, +2.2(P&L +2200)
(P&L +750)
short EUR/JPY @ 131.35 stop 131.55 or .95 1st target 129.20 (200+pips) then 127.50 (~400pips) took 100pips on half stop rest to flat
(P&L +550)
**out**buy $USD/JPY 95.55 stop 30pip 1st profit 96.10 +65 then 97.40 (+180 pip) (we took ~96.50 +100pips then stopped b.even)
(P&L +500)
short $GD 56.20 stop 57 (0.80stp) target 54.40/52.40 1.8-3.8 pts ---6:1 risk STOPPED
P&L (-750)
ss GBP/CHF 1.7220 Stop 1.7240 -WIDEN STOP TO 50PIP use 2 tiers to enter FX Trades--1st target 160 pips = 38.2 fib
took quick 90p and stopped flat and got stopped
(P&L +450)
buy EUR/AUD 1.7595 Stop 1.7925 (70p stop) 1st target 1.7740 (150p) got it! 2nd half to 1.7880 (285p)got it! P&L 3200
long CAL 10.50 UAUA 4.87 20 cent stops (Stopped 1/2 for br.even) flat --re-enter CAL 10.50
(820pst 5/15)
long ACI @16.04 Stop 15.39 target 19.20 then trail <
long $AUD/USD @0.7518 stop 0.7479-07444 (50-75 pip stop) Target 0.769 (190pip) /wrong stop on twit -trade still on **covered 1/2 at target for +190 --rest@0.775 +250 P&L 3200
out** long FAZ @ 5.62 stop 5.29 Target 7.45 approx 2pts. (stopped-28cents)P&L(-350)
long EUR/CHF @1.5044 stop 15035-1.5090 (12-45pip stop) hold for 1st target 1.5093 2nd T= 1.5177 (130pip) 3rd T= breakout (+300pips) **covered 1/2 at 1st tgt for 120pip/flat rest -- P&L 650
long USD/JPY @ 95.40 stopped for 15 pip stop(These are lower proability due to high risk reward -100-200 pips for 15 pip risk!!! Phenomenal Expectancy)
out** ss MON @90.95 stop 92.15 (tighten stop to 91.25)stopped---P&L(-350)
out** ss WFC @28.08 --stop28.61 took profit at 25
P&L 3200
out** ss HPQ @37.01 --stop37.41took profit 33.65 /34
P&L 5550.
out**ss EBAY @17.36 --stop17.62
P$L(-350)
out** L SRS @22.1 --stop20.99 took 1/2 23.65 flat rest
P&L 1050
out** ss QLD @35.9 --stop36.01 took porfit 33.19
P&L 5200
Tuesday, May 26, 2009
Thursday, May 21, 2009
Wednesday, May 20, 2009
Tuesday, May 19, 2009
Monday, May 18, 2009

Friday, May 15, 2009
Wednesday, May 13, 2009
Tuesday, May 12, 2009
Monday, May 11, 2009
Friday, May 8, 2009
Wednesday, May 6, 2009
Tuesday, May 5, 2009
may 5--current positions
- ss
- L
- EURGBP 0.8858 stopped 0.8845 -13pip
- ss QLD 35.45 add(5/6) 36.31
- ss MS 27.35 stopped 27.81