Every year, I have a look at the mistakes made and try to see how I can avoid repeating them. Admit, and move on. And I also have a close look into what worked, and see how I can continue building on that.
In this post I'm sharing my trading P&L for the Calendar Year (CY) 2022 i.e. last 12 months or Trailing Twelve Months (TTM). I'll also compare it to the Financial Year (FY) 2022-23 for the last 9 months. This will give you a picture of how much was generated through trading, and how much was from investing.
I'll also share the worst day in trading (i.e. my largest drawdown), and the best (highest profit booked). To bring perspective, the best 3 days and the worst 3 days.
Okay, so here are the results: