What went right/wrong

In the past week, I only have two contract because of busy time for project.

The correct thing I did last week is long on corn. That made me gain profit and then reduce my lost in short on soybean. Corn price last week continue to climb up.

But the wrong thing I did cause a bigger lost than gain. I short a contract in soybean. I thought that price would reduce because of the bigger plant next year. But I ignore the “shoulder” in area graph. That cause a big lost.

Equity balance after this week is 51 thousand. I lost almost ten thousand.

That’s the last blog for this term but I will continue to trade because I could learn a lot during the trade.

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