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Today I did good on futures, but did terrible on one stock trade which was a long on GS that I was looking to scalp. Turns out I bought the top and made the same mistake as yesterday with holding it for a big loss. I think I need to stop trading stocks or trade smaller size on the stocks I'm trading because I made the same mistake twice. The bonds and stock indices are behaving inversley to one another, and my GS buy was a perfect short because ZN had bottomed out right around when I bought it.
P/L $2,147 on 95 contracts and 2,700 shares
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