Thursday, March 31, 2011

STOPPED OUT MXY.TO

Stopped out of MXY.TO today with another loss of $230 (6%). This is starting to really suck. I think my pre-emptive strikes are not working in this market. Need to find better setups with the 20/50 flat or pointing a little up. Need to adjust!

Monday, March 28, 2011

Bought MXY.TO

I took a shot at some MXY.TO today with a order on the 50MA. It really needs to stay above the 50MA and make a strong move above the 200MA. My stop is just below the 20MA but I might even sell it before it gets there if I get the willy jillies. 3000 shares at 1.22

Thursday, March 24, 2011

Bought GBN.V

Giving GBN.V another stab. 6000 shares @ 0.425 with a stop at 0.39 at most.

Monday, March 21, 2011

Bought CBT.V

Took 15000 shares at 0.105 of CBT.V with The Plan in the chart.

Thursday, March 17, 2011

Sold HXD.TO

Whip it, whip it good. Holly whipsaw volatile batman. Stopped out with a $80 (1%) loss.

Wednesday, March 16, 2011

Bought HXD.TO

This is the daily chart of the XIU.TO, the TSX60. I am shorting the bounce from the trendline break.
    Bought 1000 shares @ 8.65 with a stop at 8.59 or sooner. SP, Q's are very weak and I am looking for the TSX to follow. Japan had a earthquake almost a week ago and the tsunami has destroyed the destroyed the nuclear power plants. Radiation is leaking and there are high chances a full meltdown. Best wishes for the Japanese and world, this is serious serious stuff.

    Tuesday, March 15, 2011

    Sold HFD.TO

    Finally banked a profitable trade. Sold HFD.TO with a $239 (5%) profit. I know write down my plan for every trade and I have to stick to that plan and that's why I sold HFD.TO this morning because it hit my exact target, I would've been pissed off at myself if I didn't because it has pulled back right after 7.30 was hit.

    Thursday, March 10, 2011

    PMT.TO & HFD.TO

    Brutal, this is my 6 or 7 straight losing trade. Stopped out of PMT.TO with a $86 (1.5%) loss.
      
    I took 700 shares at 6.91 of HFD.TO which is the 2x Canadian financials short.

    Wednesday, March 9, 2011

    Sold ARZ.TO

    I got stopped out of my ARZ.TO with a $132 (2.5%) loss. I am on a losing streak so I've lighten up. Gold hits a new high and gold stocks are going no where but down even. Not good! This market is as choppy as hell on a rollercoaster and I am chop liver.

    Monday, March 7, 2011

    HED.TO, GBN.V, PMT.TO

    I finally capitulated today on HED.TO. I really fucked this trade up and took a beating and loss $1,010 (24%). I had a chance to get out too but my emotions got in the way and I was like a deer in the headlights. It really shows how one bad trade can really ruin your portfolio. So disappointed with myself ;(
    The day I took this at 0.47, it basically had to go up because it was at recent support. In hindsight, it did not look good because it was below the 20 & 50 MA. It went down right after I bought it and made new lows and now looks worse. So I waited for the bounce and got the hell outta there at 0.46 with a $80 (2.5%) loss which is a victory in my books.
    And finally I took a crack at PMT.TO on this pullback. I bought 1100 @ 4.09 with a stop at 3.95 at most but I'd be outta there if it even touches or closes below the 20 & 50 MAs.

    Thursday, March 3, 2011

    Sold HJD.TO With A Loss

    Man, I am a losing streak here. Sold my HJD.TO emerging markets short with a $245 (5%) loss.

    Wednesday, March 2, 2011

    Bought HJD.TO

    Took another crack at shorting the emerging markets. I am watching the EEM closely and will not give this much room, I may even get stopped out tomorrow.
    I am updating this again just to show how bad and how fast things can get when you don't have stops. Thank god I followed my rules on this one. Technical analysis works, you just have to follow your rules. What's the difference between a speculator and a investor? Speculators use stops!

    Tuesday, March 1, 2011

    Bought ARZ.TO & GBN.V

    I bought 6000 @ 0.47 early in the morning and it went down all day on huge volume. I hope its some sort of capitulation but it looks horrible. I have to be very careful with this, if it doesn't get some sort of bounce tomorrow I'll probably sell it. I really don't want to see this thing below 0.42
    I also bought 700 @ 7.04 early in the morning and it's working out nicely. I'd love to see it follow through tomorrow and break the 7.58 resistance in the next couple of days. Gold hit a new high today of $1435.
    This is a update on CRK.TO which I sold 3 days ago and took a $95 (2.2%) loss. It just fell apart right after I sold it. This is why so important that I follow my technical analysis rules no matter what the story is. Something I should've done with my HED.TO where I've broken the rules and I am stuck with it trying to get out. Break the rules, pay the price.