Weekly Recap for 3/22/15 – 3/27/15

3/22: *$106,955.64
3/27: *$107,301.58
PL%: +0.31%

Screen Shot 2015-03-27 at 6.11.49 PM

Although the numbers from the start and end of this week don’t show it, the first few days of trading this week was gut wrenching. Including last week, I had entered and exited in 6 losing trades which combined for just under 5% of total capital. I knew this was all part of the system, kept my cool, and stuck to my guns. I believe in my system and know it will work in the long term.

Nearly all of the losses were made up in a single trade which I still have open, long Silver (chart included above, entry marked with green arrow). I managed to catch the big move up on the 20th and it’s slowly inched up this week. My other positions in long Live Cattle, long US 2-Year, and short Natural Gas have made much smaller moves.

I’m back to roughly even for the month of March and up +11.65% YTD.

*Numbers based off adjusted starting capital amount of $100,000

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