I closed out my short positions in the Eurodollars and the 10-year for profits. I got stopped out of CINF for a break even trade. I still continue to risk small on US stock positions. For WMT, I have stops moved up to 152.5.
STOCKS | ||||||
Symbol | Position | Date Position Opened |
Price Position Opened |
Week Closing Price |
Percent Change |
|
WMT | Long | 4/6/22 | 155 | 153.55 | -0.9% | |
Total Open Profit/Loss Stocks | -0.9% | |||||
FUTURES | ||||||
Symbol | Position | Date Position Opened |
Price Position Opened |
Week Closing Price |
Percent Change |
|
RB | Long | 4/29/22 | 3.45 | 3.45 | 0.00% | |
ZM | Short | 4/26/22 | 440 | 431.7 | 1.89% | |
Total Open Profit/Loss Futures | 1.9% |