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Rough day for me, started very well but had to give all profits back after 90 minutes of trading.
Managed to squeeze a profit of $222,84 out of the markets after all, could have been much more if i didn't miss 2 of those nice reversals.
Anyway, 12 trading day's in and i have already reached the 10% target, 29 to go.
Today could have been a very nice day, if it wasn't for me falling asleep before the market opened.
Had a very rough night with little sleep and missed the first 60 minutes of trading where some nice moves developed.
1 trade so far today, and probably going to leave it there so i can get some sleep.
So total profit for today is $100,56.
Had one more trade last night a few minutes before the close, ended up being a loser and closed the day break even (-$3,88).
Today another very boring day, had a few trades but most of them closed BE, didn't manage to capture the few nice moves. Total profit for today $173,92.
Tomorrow i will only trade the first 2 hours of US session because i expect the markets to have very little movement between then and the FOMC.
I did not expect so little action today, we have been in a 25 point range channel for over 3 hours now.
This lack of momentum is not very good for my system and so i had the worst day so far this Gauntlet.
Down -$406,08. No more trades today since i do not expect momentum to pick up unless maybe the last 5 minutes, i do not want to take that risk today since it really could go both sides in my opinion.
Very low pre open volume so far, NQ only around 49K contracts with just 5 minutes to go before the open.
This might indicate another slow day with little movement today.