• Portfolio Management for April 15, 2014

    I will be cautious today and might not open new positions at all.
    As can be seen below, I only have one ABG long for now (and a TNA short as well as a QID long, which are not stated here.)



    The stats since last September are below. The returns are OK, considering that I have only been invested 33% of the time.



    I will look more closely at shorting IWN and QQQ in the coming days, as these will be safer than risking individual trades during earnings season.

    QQQ broke below its Ichimoku clouds some days ago and might revert back and then fail again. This is where we will short again.



    The list for today is below. ITT might be an interesting long trade here. The rest is questionable.