Daily Postion and P&L Tracker

5/21/98 Closing Update
A good day over all so far. The risk/reward ration of the program is really showing up now. The Aud 4 has just hit my system's re-tracement resistant. If it should come back down again in the next few days, I will re-enter on the short side.
Close of   Trade date   21-May-98   Closing                    
COMMODITY   TRADE DATE   SIZE   PRICE   LAST CHANGE     Dail OTE   OTE   STOPS
                                 
USM8                       $ -   $ -   N/A
TYM8                       $ -   $ -   N/A
FVM8                       $ -   $ -   N/A
EDU8                       $ -   $ -   N/A
                                 
ADM8                       $ -   $ -   6318
CDM8                       $ -   $ -   N/A
BPM8   7-May   -2   16558   16300 -6     $ 75.00   $ 3,225.00   16323
DMM8   24-Apr   2   5583   5704 45     $ 1,125.00   $ 3,025.00   5671
DMM8   7-May   1   5676   5704 45     $ 562.50   $ 350.00   5671
SFM8   5-May   2   6800   6856 65     $ 1,625.00   $ 1,400.00   6809
SFM8   7-May   2   6815   6856 65     $ 1,625.00   $ 1,025.00   6809
JYM8   5-May   -1   7650   7442 55     $ (687.50)   $ 2,600.00   7432
JYM8   6-May   -1   7600   7442 55     $ (687.50)   $ 1,975.00   7432
                                 
SPM8                       $ -   $ -   N/A
                                 
GCM8                       $ -   $ -   N/A
SIN8                       $ -   $ -   N/A
HGN8                       $ -   $ -   N/A
                                 
CLM8                       $ -   $ -   N/A
HOM8                       $ -   $ -   N/A
HUM8                       $ -   $ -   N/A
NGM8                       $ -   $ -   N/A
                                 
SBN8                       $ -   $ -   N/A
KCN8                       $ -   $ -   N/A
KCN8                       $ -   $ -   N/A
CON8                       $ -   $ -   N/A
                                 
SN8                       $ -   $ -   N/A
CN8                       $ -   $ -   N/A
WN8                       $ -   $ -   N/A
                                 
SMN8                       $ -   $ -   N/A
BON8                       $ -   $ -   N/A
                                 
Total                       $ 3,637.50   $ 13,600.00    
MTD Realized P&L                            
COMM   EXIT DATE   SIZE   EXIT PRICE   ENTER-DATE ENTRY SIZE     EXTRY-PRICE   P&L
JYM8   5-May   1   7650   5-May -1     7761   $ 1,387.50
KCN8   5-May   1   12995   1-May -1     13145   $562.50
JYM8 775 C   6-May   -1   50   5-May 1     77   $ (337.50)
KCN8   6-May   1   12600   5-May -1     13255   $2,456.25
KCN8   7-May   1   12515   7-May -1     12700   $693.75
KCN8   8-May   1   12600   8-May -1     12720   $450.00
DMM8   11-May   -1   5639   24-Apr 1     5583   $700.00
JYM8   11-May   1   7574   24-Apr -1     7761   $2,337.50
KCN8   11-May   1   12700   11-May -1     12825   $468.75
KCN8   12-May   1   12500   12-May -1     12795   $1,106.25
BPM8   13-May   1   16328   7-May -1     16558   $1,437.50
DMM8   13-May   -1   5628   7-May 1     5676   ($600.00)
KCN8   13-May   1   12540   13-May -1     12625   $318.75
KCN8   13-May   1   12520   13-May -1     12615   $356.25
KCN8   14-May   1   12415   14-May -1     12650   $881.25
KCN8   14-May   1   12680   14-May -1     12630   ($187.50)
KCN8   15-May   1   12480   15-May -1     12760   $1,050.00
KCN8   15-May   1   12590   15-May -1     12670   $300.00
ADM8   18-May   3   6175   6-May -3     6385   $6,300.00
MTD Change in OTE           $ 8,825.00
MTD Realized P&L           $ 19,681.25
MTD Total P&L           $28,506.25
The position size listed in the Daily P&L Tracker are designed for a hypothetical portfolio of $100,000.00. When the position is established, the average trade seeks to risk no more than 2% of the total equity on a daily basis based on market volatility. The exceptions here are in the cases of S&P 500 and Coffee. Because of the value of the actual contract as well as the volitility we have seen in recent days, a 1 contract position is being used and the actual capital at risk is being list below. Because market volatility changes, the capital at risk for each market is list here also. Please remember these number are not absolute. It is merely an estimate for each market's daily lose if you are forced to cut the position during that day. Also, please do not confuse this as margins for the position. Margins are set by the exchanges and you FCM. They are two completely different things. This report is updated weekly, usually on Monday morning.
COMMODITY   RISK CAPITAL   COMMODITY   RISK CAPITAL
USDM8   N/A   CLM8   N/A
TYDM8   N/A   HOM8   N/A
FVM8   N/A   HUM8   N/A
EDU8   N/A   NGM8   N/A
             
ADM8   N/A   SBN8   N/A
CDM8   N/A   KCN8   N/A
BPM8   $ 3,112.50   CON8   N/A
DMM8   $ 2,400.00        
SFM8   $ 4,500.00   SK8   N/A
JYM8   $ 2,600.00   CK8   N/A
        WK8   N/A
SPM8   N/A        
        SMN8   N/A
GCM8   N/A   BON8   N/A
SIK8   N/A        
HGN8   N/A        
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Last Updated on 5/21/98
By Future Watch