Fri Sep 13 Trades & Journal

Trade Summary
20130913
Short 2 NQ 3174.0, 3174.0, +2.0, +2.0
Short 2 YM 15277, 15300, -4, -1
Short 1 TF 1048.2, +1.1
Long 2 YM 15279, 15278, +1, -4
Long 1 YM 15263, +15
Total YM +7
Total NQ +4.0
Total TF +1.0

Guess I was reacting still to the need to post a profitable week, but in truth the reason for the 1 lot trade size today was more a quickness in the turns. Since I usually try to get a 2nd or 3rd contract as some kind of base builds, I can miss out of those additional positions if price takes off immediately from ID'd support/resistance. But at least all five days this week profitable, and that's important coming off a losing week last week. Consistency is more important than missed opportunities. Don't play catch-up. Find the consistency you lost, and you will catch up with all your losses. ...and a good weekend to all...