i saw a pullback happening for the short side, took the trade after I saw some confirmation, got out a bit earlier than wanted to because of picking the wrong order type.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-08-28 13:58:56 | HP | sell | $58.214 | short |
2015-08-28 13:58:56 | HP | sell | $58.212 | short |
2015-08-28 13:58:56 | HP | sell | $58.210 | short |
2015-08-28 14:31:52 | HP | buy | $57.575 | short |
2015-08-28 14:31:52 | HP | buy | $57.580 | short |
2015-08-28 14:31:54 | HP | buy | $57.580 | short |
2015-08-28 14:31:55 | HP | buy | $57.586 | short |
2015-08-28 14:31:55 | HP | buy | $57.582 | 0 |
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