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Getting it down on `paper`

Investing mistakes 2011

* bought at high of day without volume and didn’t close on fake-out break-down
* held big loser over night and got lucky
* set swing stop that got hit at open only to rally from open’s low of day
* did not buy at technical support when risk was near zero
* did not hold while trending
* did not sell at technical resistance where upside potential was minimal
* did not engage the market as much as I studied it
* corollary: tons of research and little participation
* too much coding and not enough practice
* dozens more, I’m sure…

 

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