my RULES

1. "MUST" take every signal shown by system
2. "NEVER" invest > 30% out from capital, balance capital for backup
3. "INCREASE" position only after 20-30% increase in capital

*Futures Crude Palm Oil: current position for GT2
Step 1: Holding> February contract LONG 3053 (01.12.11)
Step 2: Stop> i dont use STOP!!
Step 3: Entry> No SAR signal yet..

*Futures Kuala Lumpur Index: current position for RJ1
Step 1: Holding> LONG 1436 November (24.11.11)
Step 2: Stop> i dont use STOP!!
Step 3: Entry> No SAR signal yet..

*will be updated after market

*PLEASE SCROLL DOWN DOWN DOWN TO VIEW MY GT2 SYSTEM PERFORMANCE

Wise Words from Ed Seykota

If I am bullish, I neither buy on a reaction, nor wait for strength; I am already in. I turn bullish at the instant my buy stop is hit, and stay bullish until my sell stop is hit. Being bullish and not being long is illogical. ~ "Market Wizards, Interview with Top Traders - Jack D. Schwager"

Thursday, July 17, 2008

The Great Bear of Wall Street- Jesse Livermore 1929

This is for all Jesse Livermore avid readers/supporters, i give you all the monthly chart when JL shot the market October 1929. I only can get the monthly chart for now because my internet line very slow, i'm having difficulty to open US DowJones Daily chart since 1900. So you guys can see when JL shot October 1929 the highest record in DowJones history that time at 386.10 and it drops within 35 months to the lowest record of 40.60 on July 1932. You all imagine 35 months of bear market "Great Bear of Wall Street" or "The Great Depression". Imagine if now we in the initial start of bear market almost similar to 1929. DowJones only starts dropping early January 2008 and we only in July 2008 (only 6 month) So the big question will it happen again. Nobody knows....

Wednesday, July 2, 2008

Composite Index

Composite Daily... Check the RED selling arrow as Shot signal n the line as the stop.


Composite 60min... Same as above.... hehehe.... Both CI & FKLI already broken the big Head & Shoulder formation yesterday... prepare for the worse but to futures trader prepare to laugh out loud.... muahahahhahahaha, we gonna win damn damn big.....

p.s - i'm not surprise if PEOPLE IN CHARGE of FUTURES in BURSA DERIVATIVES will increase the margin because very dangerous/volatile, and they all too scared of volatility and playing shot the market... and most of them trade one way LONG because fundamental good lah, that company good lah, inflation under control lah, bla bla bla bla bla, now see the few technical traders in Malaysia make good money by shorting... muahahahaha again hehe . THE TRUTH HURTS...

Tuesday, July 1, 2008

DowJones Chart

Dow Jones Daily entry : Just for information/view of DJ movement only, no trade... After one half month since shot entry on 21/05/2008, DJ still in selling mode, maybe rebound maybe not... anybody guess now?

1) 21/05/2008 - Shot 12,714, (buystop 11,420)

FCPO Daily (July Month)

June FCPO Daily profit/loss = -51 points (RM14,665 : -8.3%). Capital RM16,000.

FCPO Daily September contract :

1) 02/07/2008 - Long 3630, sell 3558 = -72 points (07/07/2008) -1860 (12,805)

2) 08/07/2008 - Shot 3489, sell 3539 = -50 points (11/07/2008) -1310 (11,495)


FCPO Daily October contract :

*3) 17/07/2008 - Shot 3438, Buy 3019 = +419 points (31/07/2008) +10,415 (21,910)

my decision to stop trading CPO Daily after badly hit for 1 half month (-28.2%) seems fatal because i miss this big drop move that will cover all my losses... sigh, with the current stop i'm already secured +419 points, but its ok i'll make a comeback trading CPO Daily.

*Updated the Shot 3438 covered Buy 3019 (31/07/08) can give me a massive win... sigh... damn frust i decide to stop FCPO Daily trade.

July month FCPO Daily profit/loss = -122 points (11,495 : -28.2%)

*Officially i'll suspend trading for FCPO Daily, balance of 11,495 will be transfered to FCPO 30mins. The whipping is too much to continue trading FCPO Daily for now.

*Only for record, no trading after big losses.

FCPO30 (July Month)

June FCPO30 profit/loss = +105 points (RM18,085 : +13%). Capital RM16,000

FCPO30 September contract :

1) 01/07/2008 - Shot 3576, buy 3595 = -19 points (02/07/2008) -535 (17,550)

2) 02/07/2008 - Long 3622, sell 3614 = -8 points (03/07/2008) -260 (17,290)

3) 04/07/2008 - Long 3639, sell 3595 = -44 points (07/07/2008) -1160 (16,130)

4) 07/07/2008 - Shot 3564, buy 3520 = +44 points (08/07/2008) .. MISS SHOT ENTRY, sigh what a huge miss...

5) 08/07/2008 - Shot 3468, buy 3474 = -6 points (08/07/2008) -210 (15,920)

6) 09/07/2008 - Long 3494, sell 3485 = -9 points (10/07/2008) -285 (15,635+11,495*= 27,130)

7) 11/07/2008 - Long 3513, sell 3542 = +29 points (14/07/2008) +665 (27,795)

8) 14/07/2008 - Shot 3527, buy 3534 = -7 points (15/07/2008) -235 (27,560)

9) 15/07/2008 - Long 3551, sell 3501 = -50 points (16/07/2008) -1310 (26,250)


FCPO30 October contract :

10) 16/07/2008 - Shot 3500, buy 3491 = +9 points (16/07/2008) +165 (26,415)

11) 17/07/2008 - Shot 3465, buy 3388 = +77 points (18/08/2008) +1865 (28,280)

12) 22/07/2008 - Long 3285, sell 3270 = -15 points (22/07/2008) -405 (27,875)

13) 23/07/2008 - Shot 2 x 3118, Buy 2 x 3109 = +18 points (23/07/2008) +390 (28,265)

14) 23/07/2008 - Shot 3 x 3060, Buy 3 x 3050 = +30 points (23/07/2008) +660 (28,925)

15) 24/07/2008 - Long 2 x 3086, Sell 2 x 3087 = +2 points (24/07/2008) -10 (28,915)

16) 25/07/2008 - Long 2 x 3086, Sell 2 x 3080 = -12 points (25/07/2008) -360 (28,555)

17) 28/07/2008 - Long 2 x 3162, Sell 2 x 3139 = -46 points (28/07/2008) -1210 (27,345)

18) 30/07/2008 - Long 2 x 2956, Sell 2 x 2976= +40 points (30/07/2008) +940 (28,285) current stop 2960

19)

July month FCPO30 profit/loss = -11 points (28,285 : +2.9%)

*11,495 transfered from FCPO Daily. So start up capital for FCPO 30 becomes to RM27,495

FKLI Daily (July Month)

June FKLI Daily profit/loss = +51 points (RM10,450 : 30.6%). Capital RM8,000

FKLI Daily July contract :

1) 01/07/2008 - Shot 1172, Buy 1123 = +49 points (10/07/2008) +2,400 (12,850)

2) 15/07/2008 - Shot 1120, Buy 1122 = -2 points (18/07/2008) -150 (12,700)

3) 18/07/2008 - Shot 1095, Buy 1096 = -1 points (21/07/2008) -100 (12,600)

4) 23/07/2008 - Shot 1120, Buy 1123 = -3 points (23/07/2008) -200 (12,400)

5) 23/07/2008 - Long 1123, Sell 1142 = +19 points (23/07/2008) +900 (13,300)

6) 25/07/2008 - Long 1123, Sell 1162.5 = +39.5 points (31/07/2008) +1,925 (15,225)

July month FKLI Daily profit/loss = +101.5 points (15,225 : +90.3%)

FKLI60 (July Month)

Jun FKLI60 profit/loss = +55 points, (RM10,350 : 29.4%). Capital RM8,000.

FKLI60 July contract :

1)26/06/2008 - Shot 1189, buy 1174 = +15 points (27/06/2008) +700 (11,050)

2) 30/06/2008 - Shot 1166, buy 1175 = -9 points (30/06/2008) -500 (10,550)

3) 30/06/2008 - Long 1175, sell 1171 = -4 points (30/06/2008) -250 (10,300)

4) 02/07/2008 - Shot 1151, buy 1146 = +5 points (02/07/2008) +200 (10,500)

5) 03/07/2008 - Shot 1123, buy 1116 = +7 points (04/07/2008) +300 (10,800)

6) 07/07/2008 - Long 1118, sell 1109 = -9 points (07/7/2008) -500 (10,300)

7) 07/07/2008 - Long 1119, Buy 1113 = -6 points (08/07/2008) -350 (9,950)

8) 08/07/2008 - Shot 1091, Buy 1106 = -15 points (09/07/2008) -800 (9,150)

9) 09/07/2008 - Long 1111, Sell 1133 = +22 points (14/07/2008) +1050 (10,200)

10) 15/07/2008 - Shot 1120, Buy 1113 = +7 points (16/07/2008) +300 (10,500)

11) 16/07/2008 - Shot 1103, Buy 1108.5 = -5.5 points (17/07/2008) -299 (10,201)

12) 17/07/2008 - Long 1112, Sell 1107 = -5 points (18/07/2008) -300 (9,901)

13) 21/07/2008 - Shot 1091, Buy 1103 = -12 points (21/07/2008) -650 (9,251)

14) 22/07/2008 - Long 2 x 1102, Sell 1 x 1107 = +5 points (22/07/2008) +200 (9,451) & Sell 1 x 1102.5 = +0.5 points (22/07/2008) -25 (9,426)

15) 23/07/2008 - Long 2 x 1114, Sell 2 x 1119 = +10 points (23/07/2008) +400 (9,851)

16) 23/07/2008 - Long 1122, Sell 1127 = +5 points (23/07/2008) *didnt enter..

17) 24/07/2008 - Shot 2 x 1143, Buy 2 x 1138 = +10 points (24/07/2008) +400 (10,251)

18) 24/07/2008 - Shot 2 x 1137, Buy 2 x 1132.5 = +9 points (24/07/2007) +370 (10,621)

19) 28/07/2008 - Long 2 x 1152, Sell 2 x 1150.5 = -3 points (28/07/2008) -230 (10,391)

20) 30/07/2008 - Long 2 x 1159, Sell 2 x 1162.5 = +7 points (30/07/2008) +270 (10,661)

July month FKLI60 profit/loss = +29.5 points (10,686 : +33.6%)


CPO 2011 (GT2 System Performance)

MAY 2011 contract
1)17.02>LONG 3729-SELL 3623 = -106 (21.02)

2)21.02>SHOT 3623-BUY 3538 = +85 (23.02)

3)23.02>LONG 3538-SELL 3518 = -20 (28.02)

4)24.02>SHOT 3506-BUY 3413 x 2lots = +186 (24.02)

5)28.02>SHOT 3518-BUY 3525 = -7 (01.03)

6)01.03>LONG 3525-SELL 3625 = +100 (08.03)

7)08.03>SHOT 3625-BUY 3598 = +27 (09.03)

8)09.03>LONG 3598-SELL 3406 = -192 (11.03)

9)10.03>SHOT 3501-BUY 3473 x 2lots = +56 (10.03)

10)11.03>SHOT 3406-BUY 3347 = +59 (14.03)

11)14.03>LONG 3347-SELL 3371 = +24 (15.03)

JUNE 2011 contract
12)15.03>LONG 3360-SELL 3434 = +74 (21.03)

13)21.03>SHOT 3434-BUY 3347 = +87 (23.03)

14)23.03>LONG 3347-SELL 3425 = +78 (11.04)

15)24.03>SHOT 3287-BUY 3249 x 2lots = +76 (24.03)

16)31.03>SHOT 3302-BUY 3343 x 2lots= -82 (31.03)

17)05.04>SHOT 3368.5-BUY 3365 x 2lots= +7 (05.04)

18)07.04>SHOT 3339-BUY 3342 x 2lots= -6 (07.04)

19)11.04>SHOT 3425-BUY 3344 = +81 (13.04)

20)13.04>LONG 3344-SELL 3307 = -37 (14.04)

21)14.04>SHOT 3307-BUY 3269 = +38 (18.04)

JULY 2011 contract
22)18.04>LONG 3253-SELL 3355 = +102 (25.04)

23)19.04>SHOT 3220-BUY 3240 x 2lots = -40 (19.04)

24)25.04>SHOT 3355-BUY 3334 = +21 (26.04)

25)26.04>LONG 3334-SELL 3290 = -44 (27.04)

26)27.04>SHOT 3290-BUY 3320 = -30 (28.04)

27)28.04>LONG 3320-SELL 3243 = -77 (04.05)

28)04.05>SHOT 3243-BUY 3277 = -34 (05.05)

29)05.05>LONG 3277-SELL 3175 = -102 (06.05)

30)06.05>SHOT 3175-BUY 3203 = -28 (09.05)

31)09.05>LONG 3203-SELL 3264 =+61 (10.05)

32)10.05>SHOT 3264-BUY 3252 = +12 (13.05)

33)13.05>LONG 3252-SELL 3370 = +118 (19.05)

AUGUST 2011 contract
34)19.05>LONG 3339-SELL 3388 = +49 (23.05)

35)23.05>SHOT 3388-BUY 3385 = +3 (24.05)

36)24.05>LONG 3385-SELL 3370 = -15 (25.05)

37)25.05>SHOT 3370-BUY 3386 = -16 (25.05)

38)25.05>LONG 3386-SELL 3418 = +32 (26.05)

39)26.05>SHOT 3418-BUY 3439 = -21 (26.05)

40)26.05>LONG 3439-SELL 3405 = -34 (26.05)

41)26.05>SHOT 3405-BUY 3442 = -37 (27.05)

42)27.05>LONG 3442-SELL 3440 = -2 (30.05)

43)30.05>SHOT 3440-BUY 3373 = +67 (02.06)

44)02.06>LONG 3373-SELL 3441 = +68 (03.06)

45)03.06>SHOT 3441-BUY 3254 = +187 (13.06)

46)13.06>LONG 3254-SELL 3256 = +2 (16.06)

SEPTEMBER 2011 contract
47)16.06>SHOT 3254-BUY 3215 = +39 (20.06)

48)20.06>LONG 3215-SELL 3212 = -3 (22.06)

49)22.06>SHOT 3212-BUY 3178 = +34 (23.06)

50)23.06>LONG 3178-SELL 3144 = -34 (24.06)

51)24.06>SHOT 3144-BUY 3121 = +23 (24.06)

52)24.06>LONG 3121-SELL 3076 = -45 (27.06)

53)27.06>SHOT 3076-BUY 3080 = -4 (28.06)

54)28.06>LONG 3080-SELL 3113 = +33 (30.06)

55)30.06>SHOT 3113-BUY 3071 = +42 (04.07)

56)04.07>LONG 3071-SELL 3054 = -17 (04.07)

57)04.07>SHOT 3054-BUY 3046 = +8 (06.07)

58)06.07>LONG 3046-SELL 3074 = +28 (08.07)

59)08.07>SHOT 3074-BUY 3045 = +29 (12.07)

60)12.07>LONG 3045-SELL 3115 = +70 (15.07)

61)15.07>SHOT 3115-BUY 3134 = -19 (18.07)

OCTOBER 2011 contract
62)18.07>SHOT 3125-BUY 3082 = +43 (19.07)

63)19.07>LONG 3082-SELL 3140 = +58 (21.07)

64)21.07>SHOT 3140-BUY 3100 = +40 (25.07)

65)25.07>LONG 3100-SELL 3115 = +15 (28.07)

66)28.07>SHOT 3115-BUY 3123 = -8 (28.07)

67)28.07>LONG 3123-SELL 3086 = -37 (29.07)

68)29.07>SHOT 3086-BUY 3100 = -14 (29.07)

69)29.07>LONG 3100-SELL 3120 = +20 (02.08)

70)02.08>SHOT 3120-BUY 3137 = -17 (03.08)

71)03.08>LONG 3137-SELL 3116 = -21 (04.08)

72)04.08>SHOT 3116-BUY 3050 = +66 (05.08)

73)05.08>LONG 3050-SELL 3033 = -17 (08.08)

74)08.08>SHOT 3033-BUY 2959 = +74 (09.08)

75)09.08>LONG 2959-SELL 3004 = +45 (12.08)

76)12.08>SHOT 3004-BUY 3054 = -50 (15.08)

77)15.08>LONG 3054-SELL 3057 * = +3 (15.08) *sell because chart hang from 3pm.

NOVEMBER 2011 contract
78)16.08>SHOT 3019-BUY 3025 = -6 (17.08)

79)17.08>LONG 3025-SELL 3003 = -22 (19.08)

80)19.08>SHOT 3000-BUY 3045 = -45 (23.08)

81)23.08>LONG 3045-SELL 3051 = +6 (24.08)

82)24.08>SHOT 3051-BUY 2978 = +73 (26.08)

83)26.08>LONG 2978-SELL 3037 = +59 (05.09) #NO TRADE because raya holiday!!

84)05.09>SHOT 3037-LONG 3007 = +30 (06.09) #NO TRADE because of Bursa feed problem!!

85)06.09>LONG 3007-SELL 3032 = +25 (08.09)

86)08.09>SHOT 3032-BUY 3055 = -23 (09.09)

87)09.09>LONG 3055-SELL 3021 = -34 (13.09) *

88)13.09>SHOT 3021-LONG 3023 = -2 (14.09)

89)14.09>LONG 3023-SELL 2993 = -30 (14.09)

90)14.09>SELL 2993-BUY 3009 = -16 (14.09)

91)14.09>LONG 3009-SELL 3038 = +29 (19.09)

DECEMBER 2011 contract
92)19.09>LONG 3038-SELL 3028 = -10 (22.09)

93)22.09>SHOT 3028-BUY 2915 = +113 (26.09)

94)26.09>LONG 2915-SELL 2886 = -29 (28.09)

95)28.09>SHOT 2886-BUY 2898 = -12 (29.09)

96)29.09>LONG 2898-SELL 2826 = -72 (04.10)

97)04.10>SHOT 2826-BUY 2775 = +51 (06.10)

98)06.10>LONG 2775-SELL 2783 = +8 (07.10)

99)07.10>SHOT 2783-BUY 2866 = -83 (12.10)

100)12.10>LONG 2866-SELL 2838 = -28 (13.10)

101)13.10>SHOT 2838-BUY 2876 = -38 (14.10)

102)14.10>LONG 2876-SELL 2824 = -52 (18.10)

JANUARY 2012 contract
103)18.10>SHOT 2832-BUY 2874 = -42 (19.10)

104)19.10>LONG 2874-SELL 2986 = +112 (27.10)

105)27.10>SHOT 2986-BUY 2947 = +39 (02.11)

106)02.11>LONG 2947-SELL 2937 = -10 (03.11)

107)03.11>SHOT 2937-BUY 2970 = -33 (03.11)

108)03.11>LONG 2970-SELL 2993 = +23 (04.11)

109)04.11>SHOT 2993-BUY 3018 = -25 (04.11)

110)04.11>LONG 3018-SELL 3030 = +12 (09.11)

111)09.11>SHOT 3030-BUY 3085 = -55 (10.11) ##

112)10.11>LONG 3085-SHOT 3163 = +78 (14.11)

113)14.11>SHOT 3163-LONG 3199 = -36 (15.11)

114)15.11>LONG 3199-SELL 3188 = -11 (15.11)

FEBRUARY 2012 contract
115)15.11>SHOT 3188-BUY 3230 = -42 (16.11)

116)16.11>LONG 3229-SELL 3239 = +10 (17.11)

117)17.11>SHOT 3239-BUY 3261 = -22 (18.11)

118)18.11>LONG 3261-SELL 3216 = -45 (21.11)

119)21.11>SHOT 3216-BUY 3182 = +34 (22.11)

120)22.11>LONG 3182-SELL 3147 = -35 (23.11)

121)23.11>SHOT 3147-BUY 3130 = +17 (24.11)

122)24.11>LONG 3130-SELL 3080 = -50 (25.11)

123)25.11>SHOT 3080-BUY 3053 = +27 (01.12)

124)01.12>LONG 3053-SELL ?? =


TOTAL POINTS = From 1st Jan 2011>> +1273 points