11)13.03>CPO May, LONG 1@1953-SELL 1@1943 = -10 (13.03)
12)13.03>FKLI LONG 3@843-SELL 3@840 = -9 (13.03)
11)13.03>CPO May, LONG 1@1953-SELL 1@1943 = -10 (13.03)
12)13.03>FKLI LONG 3@843-SELL 3@840 = -9 (13.03)
>> $65,179
1)27.02>FKLI SHOT 1@890-BUY 1@864 = +26 (03.03)> +1280= 66,459
2)02.03>FKLI SHOT 1@865-BUY 1@864 = +1 (03.03)> +30= 66,489
3)02.03>CPO May, SHOT 1@1884-BUY 1@1854 = +30 (03.03)> +720= 67,209
4)03.03>FKLI SHOT 1@860-BUY 1@864 = -4 (03.03)> -220= 66,989
5)04.03>FKLI SHOT 2@859-BUY 2@865 = -12 (04.03)> -640= 66,349
6)04.03>FKLI LONG 2@867-SELL 2@869 = +4 (05.03)> +160= 66,509
>>> 1st week mac profit = +$1,330
7)05.03>FKLI SHOT 3@867.5-BUY 3@861 = +19.5 (10.03)> +915= 67,424
8)11.03>FKLI LONG 1@857.5-SELL 1@855 = -2.5 (11.03)> -145= 67,279
9)12.03>FKLI SHOT 3@844-BUY 3@843.5 = +1.5 (12.03)> +15= 67,294
10)12.03>FKLI SHOT 3@840-BUY 3@839 = +3 (12.03)> +90= 67,384
11)13.03>CPO May, LONG 1@1953-SELL 1@1943 = -10 (13.03)> -270= 67,114
12)13.03>FKLI LONG 3@843-SELL 3@840 = -9 (13.03)> -510= 66,604
>>> 2nd week mac profit/loss = +$95
MAC :- fkli & cpo profit/loss = +$1,885/+3% ($66,604:+39%)
9)12.03>FKLI SHOT 3@844-BUY 3@843.5 = +1.5 (12.03)
10)12.03>FKLI SHOT 3@840-BUY 3@839 = +3 (12.03)
August contract
1)22.05>LONG 3625-SELL 3658 = +33 (28.05)
2)04.06>SHOT 3438-BUY 3539 = -101 (05.06)
September contract
3)03.07>LONG 3630-SELL 3558 = -72 (07.07)
October contract
4)17.07>SHOT 3437-BUY 2453 = +984 (15.08)
November contract
5)18.08>SHOT 2440-BUY 2567 = -127 (20.08)
6)09.09>SHOT 2405-BUY 2240 = +165 (15.09)
December contract
7)16.09>SHOT 2171-BUY 2182 = -12 (18.09)
8)29.09>SHOT 2250-BUY 1899 = +351 (14.10)
January 2009 contract
9)20.10>SHOT 1724-BUY 1558 = +166 (30.10)
10)03.11>LONG 1599-SELL 1542 = -57 (12.11)
11)12.11>SHOT 1542-BUY 1455 = +87 (14.11)
February 2009 contract
12)14.11>SHOT 1460-BUY 1467 = -7 (19.11)
13)21.11>SHOT 1399-BUY 1495 = -96 (24.11)
Mac 2009 contract
14)30.12>LONG 1659-SELL 1863 = +204 (13.01)
15)13.01>SHOT 1863-BUY 1806 = +57 (15.01)
Apr 2009 contract
16)15.01>SHOT 1805-BUY 1873 = -68 (22.01)
17)22.01>LONG 1873-SELL 1791 = -82 (28.01)
18)28.01>SHOT 1791-BUY 1816 = -25 (04.02)
MAY 2009 contract
19)13.02>LONG 1970-SELL 1906 = -64 (17.02)
20)06.03>LONG 1931-SELL 1970 = +39 (12.03)
21)
TOTAL POINTS = +1375 points
8)11.03>FKLI LONG 1@857.5-SELL 1@855 = -2.5 (11.03) *hands itchy, suppose no trading today, totally no entry… kekekeke
1)26.06>SHOT 534-BUY 539 = -$5 (02.07)
2)15.07>SHOT 514-BUY 490 = +$24 (08.08)
3)08.08>LONG 490-SELL 492 = +$2 (19.08)
4)26.08>SHOT 478-BUY 477 = +$1 (02.09)
5)29.09>SHOT 424-BUY 297 = +$127 (08.12)
6)08.12>LONG 297-SELL 293 = -$4 (22.12)
7)31.12>LONG 307-SELL 290 = -$17 (15.01)
8)20.01>SHOT 285-BUY 309 = -$24 (22.01)
9)04.02>LONG 353-SELL 347 = -$6 (17.02)
10)17.02>SHOT 346-BUYstop 311 = *Stopflow 366, 360, 353, 311
TOTAL profit/loss = +$98
1)03.06>Jun, SHOT 1255-BUY 1187 = +68 (30.6)
2)01.07>Jul, SHOT 1172-BUY 1122 = +50 (10.07)
3)18.07>Jul, SHOT 1096-BUY 1123 = -27 (23.07)
4)28.07>Jul, LONG 1149-SELL 1162.5 = +13.5 (31.07)
5)12.08>Aug, SHOT 1106-BUY 1081 = +25 (29.08)
6)11.09>Sep, SHOT 1035-BUY 1016 = +19 (19.09)
7)29.09>Sep, LONG 1011-SELL 1017.5 = +6.5 (30.09)
8)03.10>Oct, SHOT 1011-BUY 866.5 = +144.5 (31.10)
9)31.10>Nov, SHOT 849-BUY 884 = -35 (03.11)
10)10.11>Nov, LONG 909-SELL 852 = -57 (20.11) *o.shoot 862 stop,bcoz open gap down to 852.
11)20.11>Nov, SHOT 852-BUY 866.5 = -14.5 (28.11)
12)28.11>Dec, SHOT 872.5-BUY 866 = +6.5 (17.12)
13)17.12>Dec, LONG 866-SELL 868 = +2 (23.12)
14)02.01>Jan, LONG 889-SELL 915 = +26 (08.01)
15)09.01>Jan, LONG 929-SELL 909 = -20 (14.01)
16)14.01>Jan, SHOT 909-BUY 882 = +27 (28.01)
17)03.02>Feb, SHOT 863-BUY 891 = -28 (06.02)
18)13.02>Feb, LONG 902-SELL 881 = -21 (20.02)
19)20.02>Feb, SHOT 881-BUY 890.5 = -9.5 (27.02)
20)27.02>Mac, SHOT 888-BUYstop 873 = *stopflow 900, 881, 875, 873
TOTAL POINTS = +176 points
1)21.05>SHOT 12714-BUY 11245 = +1469 (17.07)
2)17.07>LONG 11245-SELL 11386 = +141 (24.07)
3)30.07>LONG 11399-SELL 11449 = +50 (18.08)
4)18.08>SHOT 11449-BUY 11633 = -184 (28.08)
5)28.08>LONG 11633-SELL 11339 = -294 (04.09)
6)18.09>SHOT 11036-BUY 9285 = +1751 (29.10)
7)19.11>SHOT 7964-BUY 8832 = -868 (08.12)
8)08.12>LONG 8832-SELL 8363 = -469 (14.01)
9)20.01>SHOT 7994-BUY 8342 = -348 (28.01)
10)02.02>SHOT 7908-BUY 8163 = -255 (06.02)
11)12.02>SHOT 7844-BUYstop 6980 = *Stopflow 8316, 7984, 7618, 7442, 7405, 6980
TOTAL profit/loss = +993
)23.06>SHOT 2387-BUY 2297 = +90 (17.07)
2)23.07>LONG 2321-SELL 2403 = +82 (18.08)
3)26.08>SHOT 2359-BUY 2269 = +90 (19.09)
4)29.09>SHOT 2146-BUY 1783 = +363 (04.11)
5)19.11>SHOT 1427-BUY 1536 = -109 (08.12)
6)08.12>LONG 1536-SELL 1492 = -44 (14.01)
7)20.01>SHOT 1455-BUY 1539 = -81 (28.01)
8)06.02>LONG 1569-SELL 1492 = -77 (17.02)
9)17.02>SHOT 1492-BUYstop 1371 = *Stopflow 1553, 1454, 1371
TOTAL profit/loss = +314