Sunday, 30 November 2014

24-28th November 2014: R-3.9 (Messing with Method)


Monday: Mixed Day. Some silly mistakes (failing to SAR and taking a doji trigger) and a few nice trades off a well behaved EJ chart.

Tuesday: Lots of Issues. Poor Prep (EU+EJ), Discretionary Exit (EU), Overtrading (EU).

Wednesday: No Trades, Too slow. Too great a work load updating S&R levels and highs on lows on 3 pairs.

Thursday: The Template For all Future Sessions. Simple PBs and RLs to 20EMA(and S/R) and SAR's when failed (EU)

Friday: OFF

Summary: Teething problems (messing with method!) at start of week, settled down on Thursday; Took John's comment on board dropping my work load. waited till actually wanted to trade (US session). Used 20EMA as barometer plus S&R to take trades (meant more of a waiting than "working" game), preprogrammed orders for all trades, walked away for a good deal of the time (updated stop levels occasionally), felt good.

Goal For next Week: Really very simple.... Same as Thursday's Summary...Took John's comment on board dropping my work load. waited till actually wanted to trade (US session). Used 20EMA as barometer plus S&R to take trades (meant more of a waiting than "working" game), preprogrammed orders for all trades, walked away for a good deal of the time (updated stop levels occasionally), felt good.

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