.....most recent trade

.....current positions

--------------(notice the 6:1 risk reward) per 1k shares

long EUR/CHF @1.5044 stop 150355 12pip stop hold for 1st target 1.5093 2nd T= 1.5177 (130pip) 3rd T= breakout (+300pips)


ss MON @90.95 stop 92.15

ss WFC @28.08 --stop28.61
took 1/2 profit at 25
P&L 3200


ss HPQ @37.01 --stop37.41
took 1/2 profit 33.65

P&L 5350

ss EBAY @17.36 --stop17.62

P$L+360

L SRS @22.1 --stop20.99
took 1/2 23.65 flat rest
P&L 1050

ss QLD @35.9 --stop36.01
took porfit 33.19
P&L 5200

ss MS @27.35 --stop27.8
stopped (-450)

ss QCOM 44.03 --stop44.36
took profit 41.05
P&L 2995

ss CVX @67.55 --stop68.31
(-425)



Wednesday, May 6, 2009