Saturday, March 30, 2013

Trades for  28th  March,2013

                                                 

















 Short  CLF               Form our watch list. 

                                  We were stopped out for a toltal of   -.25
    
                                  So we walked away.

Trade 2



















Long ORCL                 Entry  32.04/Stop31.95

                                    Target 1  32.20                   1/2  +.16
                    
                                    Target 2  32.48                  Never hit . We covered @34 for  +.30

                                    risk/Return        =..09/30  =  300%

                                   Very low risk trade.

                            












Trades for 27th March,2013




















Long RHT             Earnings trade   AFTER MARKET.

                             Entry   44/Stop 43.75

                             Exit   46.00

                             risk/Return   =.25/2.00    =800%


                             This trade is not for armatures!!!.

                              This needs a lot of nerve,planning,focus. RHT collapsed after its earnings.

                              You need to know exactly what you are doing  to take AFTER HOURS trades.

                              But there is money to be made there. After we exited RHT ran up another  $3.00

                              This is not a trade where  you want to be greedy.

                              We were quiet happy with the  bonus.Nice way to end the day.
Trades 25th March,2013

Trade1


















Short TRW           From our watch list.

                            Entry   55.93/Stop  56.03

                            Target  1 55.50                   1/2 +.42
                            Target  2 55.25                   1/4 +.63
                            Target  3 55.00                   more +.90

                          We added more at 55.25  Covered at 54.90   Coverd all for +.72

                          Beautiful trade that worked exactly we wexpected. 

                          First it tried to shake out all the shorts by going up on low vol. We stalked TRW.

                         risk/Return      =.10/ 1.03   =1000%
                    

                          

Sunday, March 24, 2013

Trades for 22th March,2013
















 Long HALO              From our watch list.

                                   We only   saw it at the very end of it.

                                   Entry 6.73/stop 6.59                

                                   Target  1          6.95                        1/2 +.22
                                   Target    2          7.25                       Never hit.  We covered 1/2 +.20 EOD.

                                  risk/Return     =  .14/.22  =  157%

                                  Not what we expected,but considering EOD, we were happy.

   Trade  2   





  Short   INFA                 From morning add on.
                                  
                                       Entry 34.32/Stop 34.41

                                       Target 1                  34.20             1/3  +.12
                                       Target 2                  33.80             1/3  +.52
                                       Target 3                 33.50             more +.90 covered rest for +.83

                                        risk//Return     =-.09/.90    = 1000%

                                     This was an amazing trade. We took all the money out of it.

                                     You only need one trade like this per day,with proper share sizing .






Trades for 20th March,2013



















Short  RAX                    From our watch list.

                                     Entry   51.20/Stop 51.35

                                     Target   1 50.75             It was so fast we  only got +.24 out of it.
                                     Target   2 50.50            Never hit.   We covered rest for  +.05

                                     risk/ Return    = .15/24    =160%

Trades for 19th March,2013





Trades for 15th March,2013





 One big    Climatic sell set up we never took!.




Trades fro 12th March,2013
























Trades for 7th march,2013


























Trades for 6th March,2013


























Trades for 5thMatch,2013






Trades for 4th MArch ,2013










Sunday, March 3, 2013

Trades  for 1st March,2013

Trade  1




















Short VVUS             Form  our watch list.

                                Entry  11.47/Stop  11.52

                                Target  1    11.37            1/2 +.10
                                Target  2    11.20            1/4 +.27
                                We lowered stop to 11.33 and waited .  more for +.27. and we we were
                               finally stopped out at .33 for +.12

                               This was an incredible trade.

                               risk/Return      .05/.27     =  540%

Trade 2




















Short   APOL                    From our watch list.

                                         Entry  11.79/Stop  11.87

                                         We were stopped out  -..08

                                        Second entry   11.87/Stop 11.95

                                       Target  1 11. 66                1/2    +.21
                                       Target  2 11. 50                Never hit. We covered 1/2 +..24

                                        risk/return    .08/.225       =320%

                                        See how we  reentered the trade and not only  made back our lose
                                        But closed the trade green!

                                        This  is where your trade management skills come into  play.

                                       

Trades for 28th February,2013

Trade 1





















Short  PKT                 From  morning gaps.

                                  Entry 11.99/Stop 12.02

                                  PKT was a low volume stock,But gapped down big today. We missed the
                                  early entry and waited for a secondary entry,which we took.


                                  We were stopped out .Reentered at 11.99 again with same stop but we got out
                                  as it was just basing without any real movement. Later it dropped 11.60.
 
                                 Our target was 11.50

Trade 2




















Short  DLTR                From our watch list.

                                   Entry 45.65/Stop 45.75

                                   DLTR collapsed very fast after entry.

                                   Target  1 45. 50           1/2 +.15
                                   Target  2 45.25            1/4 +.30
                                   Target  3 45.00            1/4 +..45

                                   DLTR dropped  to 45.01 in a flash and bounced. It was too fast  for
                                   us to have exited.

                                   Nevertheless  it was a tremendous trade at the end.

                                   risk/Return     .10/.45      =450%