Really wonder what's wrong with SPX, or it's problem with my method. 3 consecutive losses on the SPX for the month of March. Really expensive. The unrest in the middle east and the sky high oil prices is causing the market to fluctuate. I can only conclude that Mr. Market is quite lost and confused now. S&P 500 has been trading in the 1290 and 1325 range from more than a week now. Hope that a breakout downward will be possible as I had shorted the SPX 30M. CHF have been opened for 3 days now, no great movement, just hovering around the same price.
Update of March P/L:
EUR 15M: 0
EUR 30M: -1
CHF 15M: 0 1p
CHF 30M: 0
SPX 15M: -3
SPX30M: -3 1p
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