10/19/2006
1. Trade: Bought 25 contract at 0.9 then sold 10 at 0.7, bought 10 Nov 42 call at 0.15, sold at 0.25.
2. Evaluation: Still, too impatient, and when indices went down, lost confidence.
3.Idea:
1)Should spend more time to think through the time to close positions when holding positions with profits, it is the most important thing for me, I lost or made much less than I could have for this reason.
2)Still need to plan carefully when to enter the market, and when or under what kinds of situations get out it.

