Friday, January 2
DRYS - Market open price was 11.65. Long entry triggered at 11.65 + 0.18 = 11.83. First Trade: Buy @ 11.83 to a high of 12.48 - 0.27 = 12.21 adjusted down to 12.12 for a short trade #2 reversal to a low of 12.01 + 0.27 = 12.28 adjusted up to 12.38 for a long trade #3 reversal to a high of 12.77 - 0.27 = 12.50 adjusted down to break 12.50
BAC - Market open price was 13.96. Short entry triggered at 13.96 - 0.23 = 13.73. First Trade: Short @ 13.73 to a low of 13.71 + 0.35 = 14.06 adjusted up to 14.13 for a long trade #2 reversal to a high of 14.57 to close at end of day at 14.39
USO - Market open price was 33.85. Long entry triggered at 33.85 + 0.55 = 34.40. First Trade: Buy @ 34.40 to a high of 35.91 - 0.83 = 35.08 adjusted down to break 35.00 for a short trade #2 reversal to a low of 34.70 + 0.83 = 35.53 adjusted up to 35.63 for a long trade #3 reversal to a high of 35.80 to close at end of day at 35.62
PLD - Market open price was 13.79. Long entry triggered at 13.79 + 0.24 = 14.03. First Trade: Buy @ 14.03 to a high of 14.05 - 0.36 = 13.69 adjusted down to 13.62 for a short trade #2 reversal to a low of 13.14 + 0.36 = 13.50 adjusted up to break 13.50 for a long trade #3 reversal to a high of 14.11 - 0.36 = 13.75 adjusted down to break 13.75
DRYS - Market open price was 11.65. Long entry triggered at 11.65 + 0.18 = 11.83. First Trade: Buy @ 11.83 to a high of 12.48 - 0.27 = 12.21 adjusted down to 12.12 for a short trade #2 reversal to a low of 12.01 + 0.27 = 12.28 adjusted up to 12.38 for a long trade #3 reversal to a high of 12.77 - 0.27 = 12.50 adjusted down to break 12.50
BAC - Market open price was 13.96. Short entry triggered at 13.96 - 0.23 = 13.73. First Trade: Short @ 13.73 to a low of 13.71 + 0.35 = 14.06 adjusted up to 14.13 for a long trade #2 reversal to a high of 14.57 to close at end of day at 14.39
USO - Market open price was 33.85. Long entry triggered at 33.85 + 0.55 = 34.40. First Trade: Buy @ 34.40 to a high of 35.91 - 0.83 = 35.08 adjusted down to break 35.00 for a short trade #2 reversal to a low of 34.70 + 0.83 = 35.53 adjusted up to 35.63 for a long trade #3 reversal to a high of 35.80 to close at end of day at 35.62
PLD - Market open price was 13.79. Long entry triggered at 13.79 + 0.24 = 14.03. First Trade: Buy @ 14.03 to a high of 14.05 - 0.36 = 13.69 adjusted down to 13.62 for a short trade #2 reversal to a low of 13.14 + 0.36 = 13.50 adjusted up to break 13.50 for a long trade #3 reversal to a high of 14.11 - 0.36 = 13.75 adjusted down to break 13.75