Wednesday, December 21, 2011

Sold RR.TO

I just don't have the stomach for this whippy bullshit. Got out with a $20 gain.

Tuesday, December 20, 2011

Bought RR.TO & IMO.TO

Looking for a Xmas rally. I bought 100 shares at 42.90 of IMO.TO

I also bought 500 shares at 7.26 of RR.TO

Friday, December 9, 2011

Wednesday, December 7, 2011

Monday, December 5, 2011

Stopped Out ELD.TO

Stopped out of this POS with a $7 gain. I tried to give it some room and time for a swing trade.

Friday, December 2, 2011

Thursday, December 1, 2011

Bought ELD.TO

I forgot to post this yesterday. Bought 300 shares at 17.53 of ELD.TO

Monday, November 28, 2011

Bought SMF.TO

Buying support here, it looked a lot better when the gap up held. 500 shares at 7.29

Sunday, November 20, 2011


Sold my oil short HOD.TO at 5.75 with net profit of $230/8.8%

Wednesday, November 16, 2011


I took a tiny position in HOD.TO which is the Crude Oil 2x short. I bought 500 shares at 5.25 with a stop at low of day.

This is the USO oil etf which I based my short on. It's had a straight up run and it gapped up today right into resistance, see red circles. Today could be a exhaustion gap, hopefully it'll gap down tomorrow creating a island top.

Sunday, November 13, 2011


This market is soooo god damn skittish that I can't hold anything for more than three 60 min bars. It gaps up or down everyday and I don't have the stomach or balls to hold it over a weekend. Stopped myself out and took a $10 Loss.

Stopped myself out and took a $10 gain. I may reenter this one, financials look the weakest.

Thursday, November 10, 2011

Bought HFD.TO & HED.TO

HED.TO is the 2x TSX energy short. I bought 1000 shares at 4.48

HFD.TO is the 2x TSX financial short. I bought 600 shares  at 8.51

Sunday, November 6, 2011

Stopped Out AUQ.TO & BTO.TO

I decided to bail out of both of these positions that I bought only yesterday because of the Greek confidence vote tonight. I didn't want to hold over the weekend because it's too crazy. Anything can happen! Obviously it was a bad move but oh well. Even trade.

I was looking for a immediate up move because of the tight 15min. So I bailed because of the Greek confidence vote. Loss $70/1.8%

15min chart.

Friday, November 4, 2011

Bought AUQ.TO & BTO.TO

Bought 1000 shares at 3.91 of BTO.TO. I may not hold this over the weekend because of news concerning Greece. Bad things happen over weekends these days.
This is the 15min view of BTO.TO. I bought it because of the tight triangle which favors a continuation pattern.

I also took a stab with 500 shares of AUQ.TO at 10.30  

Monday, October 31, 2011

Stopped Out AVL.TO

Stopped out of AVL.TO with a $10 Loss. This market is way too crazy and volatile, you can't hold on to any positions for more that a day.

Friday, October 28, 2011

Stopped Out PRU.TO

This is why this market is damn hard right now, add junior gold stocks on top and its chaos. Everything looked great yesterday and thank god I stuck with my trading plan and sold half. Then WHAM, crash and burn with a gap down. Netted $45/1.3%

Thursday, October 27, 2011

Bought AVL.TO Sold PRU.TO

Bougth 1000 shares at 3.40 with a stop at 3.25

Sold half/500 shares at 3.62

Wednesday, October 26, 2011

Tuesday, October 25, 2011

Bought K.TO & PRU.TO

Bought 400 shares at 14.31 of Kinross.

Bought 1000 shares @ 3.42

Wednesday, October 19, 2011

Stopped Out UUU.TO

Gsus, this market is so god damn whippy that nothing follows through. Stopped out with a $110/4.7% Loss.

Tuesday, October 18, 2011

Bought UUU.TO

Bought 1000 shares at 2.33 of UUU.TO with a stop at 2.24

Monday, October 17, 2011

Stopped Out of NGD.TO

I cancelled my stop trying to get out at a better price, what a dumbass. Loss $236/5.1%

Saturday, October 15, 2011

Bought NGD.TO

Took a position in New Gold today. I bought 400 shares at 11.77

Thursday, October 13, 2011

Stopped Out of HQD.TO

Stopped myself out because there was no follow through. Loss $40.

Wednesday, October 12, 2011

Bought HQD.TO

I shorted the Q's today by buying 1000 shares at 6.45 of HQD.TO

Thursday, October 6, 2011


With the huge move up in the markets I'd expected bigger bars down on the 30 year bonds. So I got out with a $90/2.4% profit.

Tuesday, October 4, 2011

Bought HTD.TO

Took a shot at shorting 30 years US Treasuries. I bought 500 shares @ 7.65 of HTD.TO.

Friday, September 23, 2011

Thursday, September 22, 2011

Wednesday, September 21, 2011

I bought 500 shares of HQD.TO at 6.71. This is the 2x Nasdaq 100 short.

This was a real fucking pisser. Got stopped out of HOD.TO before it ran back up. Loss $120/3.1%

Tuesday, September 20, 2011

Bought HOD.TO

I bought 500 shares of HOD.TO at 7.76. This is a 2x oil short and I am buying the retest of the trendline breakout.

Thursday, September 15, 2011

Wednesday, September 14, 2011


Got out of the last 300 shares of HGD.TO with a $222/6.4% gain. I was looking for another leg up, some sort of ABC which could still happen.

Tuesday, September 13, 2011

Bought & Sold PRQ.TO

Bought this yesterday at the close and forgot to post but I sold it this morning already with a $78 gain.

Friday, September 9, 2011

Sold TMM.TO Bought HGD.TO

This is the daily chart of TMM.TO and why I decided to get out.

Bailed out of TMM.TO with a $315/7.5% gain.
I bought 500 shares at 6.91 of HGD.TO which is 2x gold stocks short.  This is shorting the short term top on gold stocks which has had an amazing run. Check out the XGD.TO below with the volume. There's also divergence on the 60 min chart (not shown).

Daily chart of the XGD.TO. I am looking for a move down to 26.90 and the 20MA/rising trendline.

Wednesday, September 7, 2011

Stopped Out DPM.TO & K.TO

Stopped out of K.TO with a $25 gain.

Stopped out of DPM.TO with a $20 gain.