Target triggered on the OJ contract, but stopped out of the British Pound contract. Entered a new short position in the Canadian Dollar. Working an order to sell the Euro currency contract.
Shorted the Orange Juice and Britsh Pound futures contracts this week.
Stopped out both the British Pound and Bonds positions on a Sunday overnight market rally.
Stopped out of the Sugar position. went short the British Pound, and went long the 30-Year Treasury Bonds.
Shorted the Sugar futures contract before the Thanksgiving holiday. Trailed the stop loss lower twice this week to reduce the risk.
Sold the Canadian Dollar this week. Trailed the stop losses in both positions to reduce risk or lock in profit.
Stopped out of both the Live Cattle and the E-mini S&P contracts for a profit. Entered into a short Kansas City Wheat contract.
Trailed the stop loss lower on the LIve Cattle position to potentially lock in profit. Working a day trade in the E-mini S&P market.
Stopped ouf of the short futures position in Feeder Cattle after trailing the stop loss once.
Entered into a new short futures position in Feeder Cattle.