simply stock future charts

sangram1705

Well-Known Member
#27
sorry friends for posting after a gap. will continue...

PROBABLY ONE THING I NEED TO LEARN IS HOW TO SIT TIGHT WHEN IN PROFIT & NOT GIVE BACK WHAT I HAVE EARNT.. UNFORTUNATELY THERE IS NO BOOK WHICH TEACHES THIS!!!!!!!!!
 

sangram1705

Well-Known Member
#28
TODAY'S TRADE:

1) HCLTECH15JANFUT long 125 @ 1,587.95 sell @ 1,590.70 343.75
2) LT15JANFUT long 250 @ 1,519.65 sell @ 1,525.50 1462.50
3) NMDC15JANFUT long 2000 @ 133.10 sell @ 134.25 2300.00
4) PFC15JANFUT long 1000 @ 279.70 buy @ 277.90 -1800.00
_________________________________________________________________
NET 2306.25/-
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previous 2 sessions i have ended in red. & felt there is necessity of some changes, so i was busy in tweaking my system.
1) made some changes in entry & exit. ( Still using PA & will always stick to)
2) presently working on risk management & defined some rules. Although it is not complete & need help from forum members to design my own plan. Truly speaking I had never realised the importance of risk management before. Now I feel that I need it badly.
3) experienced traders pl suggest me any good articles/books regarding risk management, position sizing etc. ( I could have googled, but i doubt the search results will return something with practical examples)

Thanks
 

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