S&P 500 Index

Stopped out of long position this morning, reinitiated long.

We had a standing stop placed at 3816.99, this was filled with the negative price action this morning (Filled at 3816.79).
However, as the day progresssed the day ended up a lot better.
We have reinitated a long position just before close at 3855.99. The margin requirements have increased slightly as of today.
So overall, not a bad trade. We entered at 3797.92 on January 19th and exited today at 3816.79.
130 contracts with 18.87 gain on each for a profit of $2453.10 (dividend and roll separate).
As of end of day today, the CFD trading model is up 11.74% year to date.

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