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A Real-Time Trading Diary
Options - Futures - Forex - Stocks
Tuesday, January 17, 2006
Equity Markets
Going short the March Nasdaq future as markets in Asia are falling apart, with the trigger being higher oil prices on Iran news.
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Performance - Jun 1, 2007
Portfolio NAV: 630.05 (+530.05%) S&P 500: 137.48 (+37.48%) (100=May 3, 2004)
Holdings
None
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Strategy Continued
Putting Money to Work
Profit Taking
Taking Profit
Trading
Selling Oils
A Trade and Some Thoughts
Crude Future
Crude
Trading
Market
A Trade
Equity Markets
GOOGLE
Locking in Profits
Crude
Lupe
Google, Crude
Shorting Crude
Update
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