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A Real-Time Trading Diary

Options - Futures - Forex - Stocks

Friday, January 05, 2007

Taking Profit

Covered my short Mar S&P futures at 1417. It is not easy to make money on the short side in this market...
Posted by thestocktrader at 1:25 PM

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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

Internet Resources

  • Daily Speculations
  • theStreet.com
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  • financialhearings.com
  • Elite Trader
  • Aktietips
  • Yahoo Finance
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  • futuresource.com
  • Kitco Base Metals

Blog Archive

  • ▼  2007 (33)
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    • ►  March (8)
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    • ▼  January (8)
      • Digging for Gold
      • Buying on Dip
      • Quite a Day
      • Market Strategy
      • Closing a Position
      • The Good and the Bad
      • Taking Profit
      • Market Update
  • ►  2006 (104)
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  • ►  2005 (67)
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