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Performance

hit june goal - $3,285 total
june goal: $3,000 actual result: $3,285 fucking crushed it. final week trades # friday 6/23: IWM put spread: +$245 monday 6/26:
week 3 done - $485 away from june goal
june week 3 finished. up $1,100 for the week. best week yet. week 3 trades # monday 6/19:
week 2 review - staying consistent
june week 2 done. up $635 for the week. week 2 trades # monday 6/12: GLD put spread: +$340 tuesday 6/13:
steady progress - small wins
june week 1 almost done. up $780 so far. this week’s trades # thursday 6/1: SPX put spread: +$385 friday 6/2:
june starts strong
first day of june. up $385. quick update # thursday 6/1: SPX put spread: +$385 (closed at 50% profit) account: $341,335 → $341,720 clean entry, clean exit. exactly how it should work.
may wrap - first profitable month
may is done. first profitable month since going live. final may numbers # monthly performance: total trades: 19 wins: 13 losses: 6 win rate: 68% gross profit: $3,980 gross loss: $2,645 net P&L: +$1,335 return: +0.39% sharpe ratio: 1.48 account:
down week but recovering
rough couple days. gave back some of last week’s gains. quick update # monday/tuesday market was choppy AF. stopped out twice.
week 3 - small wins add up
first positive week in may. finally. the numbers # trades this week: total: 5 wins: 4 losses: 1 win rate: 80% avg winner: $295 avg loser: $240 net: +$940 account:
week 2 review - back in the red
week 2 sucked. gave back week 1 gains and then some. the numbers # trades this week: total: 7 wins: 3 losses: 4 win rate: 43% avg winner: $310 avg loser: $485 net: -$1,010 account:
week 1 review - small progress
first week of may done. +$520. not amazing but way better than april’s weekly average (-$3k/week). the numbers # trades this week: