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"

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