Trades for Mon, Dec 14th, 2015: + $974 Profits

14 Dec Trades for Mon, Dec 14th, 2015: + $974 Profits

Swings:

12/14 – LONG 500 CERS 6.48avg,

12/14 – SHORT 4000 FNSR 14.17avg, Overnight, COVERED 2500 at 14.48, out - .31, out - $775 (still short 1500 @ 14.17avg)   

 

9:37 – SHORT 400 WFM 33.83, COVERED 300 at 33.57, out + .26, COVERED 100 at 33.55, out + .28        =            + $106

9:43 – SHORT 200 DIS 109, STOPPED 109.13, out - .13         =          - $26

9:51 – SHORT 500 DIS 08.90, COVERED 300 at 108.82, out + .08, STOPPED 200 at 109.27, out - .37         =            - $13

9:55 – SHORT 1000 WFM 33.49avg, COVERED 700 at 33.27, out + .22, out + .22, COVERED 200 at 33.08, out + .41, COVERED 100 at 33.03, out + .46         =          + $282

10:16 – BUY 600 UVXY 40.11avg, SOLD 40.77, out + .66       =          + $396

10:26 – BUY 200 YVXY 41.10, SOLD 100 at 41.45, out + .35, SOLD 100 at 41.54, out + .44  =          + $74

10:51 – BUY 300 UVXY 41.04, SOLD 200 at 41.39, out + .35, SOLD 100 at 41.18, out + .14 =          + $84

11:04 – BUY 400 UVXY 41.60, SOLD 300 at 42.04, out + .44, SOLD 100 at 42.44, out + .84 =          + $216

11:30 – BUY 400 UVXY 42.01avg, SOLD 200 at 42.60, out + .48, SOLD 200 at 42.77, out + .76       =          + $248

11:58 – BUY 300 UVXY 41.20, STOPPED 41.06, out - .14       =          - $42

12:54 – BUY 500 MSFT 54.48, SOLD 500 at 54.60, out + .12 =          + $60

2:15 – BUY 300 SVXY 46.71, SOLD 200 at 46.92, out + .21, SOLD 100 46.73, out + .02        =          + $45

2:41 – SHORT 400 WFM 33.25, COVERED 33.18, out + .07   =          + $32

2:47 – BUY 200 SVXY 46.80, SOLD 100 at 47.04, out + .24, SOLD 100 at 47.27, out + .47    =          + $71

3:15 – BUY 400 UVXY 36.05, SOLD 300 at 36.30, out + .25, STOPPED 100 at 35.78, out - .27          =          + $102

3:22 – BUY 300 SVXY 47, SOLD 200 at 47.36, out + .36, SOLD 100 at 47.42, out + .42         =          + $114

(+ $1,749 intraday profits - $775 swing loss = + $974 profits)

Total Daily P/L:          + $974

Total Weekly P/L:        +$974

Total Monthly P/L:      - $32,860

Total Yearly Profit:    + $105,747

UVXY12142015 WFM12142015shortlabebled

Summary

SPY initially sold off this morning to low 200s before coiling back up through 200.70 and then 201.50s before squeezing in the final 20 minutes back to the 202.90 B midpoint on the bear butterfly.  We scalped UVXY and SVXY most of the morning and afternoons for scalps.  There was a notable panic rug pull on UVXY that tanked it from 41s to 38s in minutes as we scaled in at 41 and 39.27 at 10:11am on UVXY LONG as it coiled right back up towards 41, as we scalped 40.77 wow.  We caught some beautiful scalps from the 41- 42.77 fib range for strong scalps.  We scaled into CERS LONG at 6.48avg and slowing building up a position on a monthly Seedwave and bear crab.  We added FNSR SHORT at 14.60 on the overnight then trimmed it down.  We closed out the day with + $974 Profits.