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Mr. Bean's Trades
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Mr. Bean's Trades

  #61 (permalink)
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Bought CSX @ 28.70 , got in this one on a spike down to consolidation area , it already broke through to all-time highs but failed, I expect to see it at 30.00 next week.

Sold CSX @ 28.36 , -0.34 , -1.2% - it's knocking on the door of the cup-n-handle handle.

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  #62 (permalink)
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SBUX B@71.50 - looking for a short run back to the 200MA , it is very oversold, again I put in a low-ball bid that got filled..

Sold SBUX @ 71.39 , -0.11 , -0.15% The broad markets were dropping fast.

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  #63 (permalink)
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Sold short AMZN @ 327.03
Bought AMNZ @ 323.00

+4.03 , +1.2%

Scalping short on a heavy down day in the broad mkts. It went down a lot further.

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  #64 (permalink)
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SOme new positions today:



Sold short VZ @ 47.61 - looking for a small move down to 47.20 based on weak hourly chart , I try to get some shorts in for a hedge.

Started out the day very bullish , stop loss hit, then turned around and dumped along with the rest of the market.

Bought VZ @ 48.34 , -0.73 , -1.5%

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  #65 (permalink)
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April 11 Bought V @ 198.72

April 16 Bought SCTY @ 54.79

April 22 Sold SCTY @ 59.40 +4.60 + 8.4%

April 23 Bought AKAM @ 53.50

April 24 Bought HSY @ 96.5

Back to school and lack of focussed time, bear market, makes it harder to find good trades.

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  #66 (permalink)
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It's been hard to keep up with the journal so I'm just doing a summary here. This is just for stock swing trading, but I also trade HongKong, FX, and day trade stocks.

April 2013 Closed Trades - Stocks

YUM B@72.25 S@77.40 +2.05 +2.9%
TSLA B@210 S@216.30 +6.30 +3.0%
SLCA B@37.44 S@39.71 +2.27 +6.1%
KRFT B@56.37 S@56.84 +0.47 +0.8%
VZ S@47.61 B@48.34 -0.73 -1.5%
V B@211.08 S@218.00 +6.92 +3.3%
CSX B@28.70 S@28.36 -0.34 -1.2%
SINA B@59.55 S@57.91 -1.65 -2.7%
ALXN B@140 S@148.15 +8.15 +5.8%
SBUX B@71.50 S@71.39 -0.11 -0.15%
WDAY B@80 S@80.92 +0.92 +1.1%
AMZN S@327 B@323 +4.00 +1.2%
DDD B@60.44 S@59.06 -1.38 -2.3%
AET B@75.85 S@75.53 -0.32 -0.4%
GOOG B@586.56 S@585.63 -0.93 -0.1%

15 Stock Trades , 8 Wins , 7 losers

Average win 3.03% , Average loss 1.2%

Average overall result per closed trade is 1.06%.

Options Trading:

DG April17 57.50 Call B@0.75 S@1.13 + $38
AET May02 74.50 Put B@1.95 S@1.75 -$20
DDD B@1.1 S@1.68 + 0.58 +$58
DG B@ 0.75 S@1.13 +0.38 +$38
AET B@1.95 S@ 1.74 -0.20 -$20

Average result is +$19

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  #67 (permalink)
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May 1 Bought JGBD @ 16.75 - this is just a gamble that Japanese bonds will one day wake up and smell the green tea

May 3 Bought LNKD @ 148 - it got slammed down hard, looking for a bounce

May 6 Bought CCL @ 39.46 - a late noticed stock above its 200MAs and put in a bullish candle

May 6 Bought EWA @ 26.53 - relative strength cf the U.S. markets

May 6 Bought BIDU @ 161.2 - popped above the 200MAs , looking for a big run if it can heal itself

May 7 Bought DISCA @ 74.7 - followed a tip , not looking good

May 7 Bought WFM @ 39.43 - big gap down, then showed bullishness, big bounce?

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  #68 (permalink)
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May 1 Bought JGBD @ 16.75 - this is just a gamble that Japanese bonds will one day wake up and smell the green tea

May 3 Bought LNKD @ 148 - it got slammed down hard, looking for a bounce
Sold @ 137.84 - -0.16 , - 0.001%

May 6 Bought CCL @ 39.46 - a late noticed stock above its 200MAs and put in a bullish candle
Sold 39.59 + 0.13 + 0.13%

May 6 Bought EWA @ 26.53 - relative strength cf the U.S. markets



May 6 Bought BIDU @ 161.2 - popped above the 200MAs , looking for a big run if it can heal itself
Sold @ 150.38 -10.82 - 6.7% (but bought a call option)


May 7 Bought DISCA @ 74.7 - followed a tip , not looking good
Sold @ 74.55 -0.16 - 0.2%


May 7 Bought WFM @ 39.43 - big gap down, then showed bullishness, big bounce?

Sold @ 39.00 -0.43 - -1.00%

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