Tracking

I have not yet decided how to structure this tracking section. For the time being, I am just going to keep adding the transactions here in a reverse chronological order. When this page gets unwieldy, I will probably move it as a quarterly category and have only the latest quarter transactions in this section.

 

29 December, 2009: Sold half portion DIS January 2010 $30 call options for gain of 67%

24 December, 2009: Sold half portion of NFLX January 2010 $60 call options for gain of 100%

16 December, 2009: Sold balance of MHP January 2010 $30 call options for gain of 135%

08 December, 2009: Sold KR December 2009 $22.50 put options for gain of 307%

04 December 2009: Sold CAD/JPY FOREX for gain of 263.9 pips

25 November, 2009: Sold SPDR Gold Trust GLD January 2010 $120 call options for gain of 157%

20 November, 2009: Monster call options expired worthless for loss of 100%

9 November, 2009: Sold XDE Call Options for gain of 21%.

6 November, 2009: Stopped out of GBP/USD currency trade for loss of -42 pips

6 November, 2009: Stopped out of EUR/USD currency trade for loss of -42 pips

28 October, 2009: Sold half position of XLF December 2009 $15 put options for gain of 9%.

28 October, 2009: Closed AUD/NZD long position for a gain of 145 pips.

28 October, 2009: Sold balance SSO $33 December put options for gain of 67%.

28 October, 2009: Closed EUR/JPY short position for gain of 37 pips.

27 October, 2009: Stopped out of USD/ZAR short position for loss of 100 pips.

27 October, 2009: Stopped out of USD/MXN short position for loss of 100 pips.

26 October, 2009: Sold NEM $44 November 2009 puts at gain of 65%.

26 October, 2009: Sold half portion SSO $33 December 2009 puts at gain of 29%.

22 October, 2009: Sold EUR/JPY long position for a total gain of 100 pips.

20 October, 2009: Sold AAPL $195 November 2009 calls at gain of 78%.

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