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PattrnProfts's Recent Activity
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5 hours ago
Posted a new opinion “Quick Update / Backtest Results”
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10 hours ago
Sold SMN (ProShares UltraShort Basic Materials ETF) @ $9.81 | 3.4% of portfolio.
Gained 2.21% | Held less than a day.
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12 hours ago
Bought SMN (ProShares UltraShort Basic Materials ETF) @ $9.63 | 2.7% of portfolio.
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12 hours ago
Sold AMZN (Amazon.com, Inc.) @ $117.82 | 6.2% of portfolio.
Lost -1.03% | Held less than a day.
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13 hours ago
Sold GMCR (Green Mountain Coffee Roasters, Inc.) @ $81.19 | 5.5% of portfolio.
Lost -4.90% | Held 6 days.
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13 hours ago
Bought TWM (ProShares UltraShort Russell2000) @ $27.61 | 5% of portfolio.
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13 hours ago
Bought TWM (ProShares UltraShort Russell2000) @ $27.59 | 5.9% of portfolio.
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13 hours ago
Bought SMN (ProShares UltraShort Basic Materials ETF) @ $9.58 | 5% of portfolio.
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13 hours ago
Bought SDS (ProShares UltraShort S&P500) @ $37.71 | 13.6% of portfolio.
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14 hours ago
Bought AMZN (Amazon.com, Inc.) @ $119.05 | 6.3% of portfolio.
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14 hours ago
Bought CTXS (Citrix Systems, Inc.) @ $42.43 | 5.9% of portfolio.
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Feb 06 at 4:40PM (EST)
Posted a new opinion “Super Bowl Weekend Update”
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Feb 05 at 2:27PM (EST)
Sold SDS (ProShares UltraShort S&P500) @ $38.97 | 15.4% of portfolio.
Gained 1.16% | Held less than a day.
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Feb 05 at 1:23PM (EST)
Sold CMG (Chipotle Mexican Grill, Inc.) @ $95.65 | 5.7% of portfolio.
Lost -5.01% | Held 3 days.
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Feb 05 at 1:08PM (EST)
Sold XHB (SPDR Series Trust) @ $14.92 | 4.5% of portfolio.
Lost -2.80% | Held 1 days.
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Feb 05 at 1:03PM (EST)
Bought SDS (ProShares UltraShort S&P500) @ $38.49 | 6.9% of portfolio.
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Feb 05 at 12:54PM (EST)
Bought SDS (ProShares UltraShort S&P500) @ $38.55 | 8.3% of portfolio.
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Feb 05 at 10:29AM (EST)
Bought UCO (ProShares Ultra DJ-AIG Crude Oil) @ $10.42 | 3.2% of portfolio.
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Feb 04 at 8:56PM (EST)
Posted a new opinion “Brief Update”
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Feb 04 at 3:10PM (EST)
Sold QLD (ProShares Ultra QQQ) @ $51.72 | 10.7% of portfolio.
Lost less than 1% | Held less than a day.
Using technical analysis, specifically price patterns, to outperform the averages. My holding periods will range from days to months depending on the pattern and the price objective. From large caps to micro caps, I'll take the trade as long as I can clearly define my risk beforehand. The rest is remaining disciplined and repeating the process.