Hey Guys,
The market started the day down yesterday, and then the S&P 500 dropped another 50 points over the remainder of the day. It's up about 10 points so far today. We're still in a state of market volatility.
Despite the market's turbulence, I had a solid week in both accounts in terms of closed trades. Here's how each account performed:
Stocks: 5 wins, 3 losses, +2.05% return
Options: 6 wins, 1 loss, +7.32% return
It's nice to see my accounts go up even when the market overall had a bad week.
I've only taken on one new trade so far today. I bought shares of ECL in the stocks account.
If you have any questions or feedback, I'd love to hear from you.