Trading
july day 1 - small win to start month
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first trading day of july (markets closed friday for july 4th weekend).
up $215.
sunday 7/2 trade # SPX put spread: +$215
hit june goal - $3,285 total
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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
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june week 3 finished. up $1,100 for the week.
best week yet.
week 3 trades # monday 6/19:
week 2 review - staying consistent
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june week 2 done. up $635 for the week.
week 2 trades # monday 6/12:
GLD put spread: +$340 tuesday 6/13:
lost one, saved three - vol detection paying off
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thursday was rough but could’ve been way worse.
what happened # thursday 6/8:
TLT put spread: -$315 (stopped during bond market dump) account: $341,720 → $341,405 lost $315 on one trade. sucks but manageable.
steady progress - small wins
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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
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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.