I made a few trades with this one, and both times I held on just a bit too long and cut my losses just a bit too soon.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-01-27 10:49:40 | NTAP | sell | $44.120 | short |
2014-01-27 10:49:40 | NTAP | sell | $44.110 | short |
2014-01-27 10:49:40 | NTAP | sell | $44.120 | short |
2014-01-27 10:49:40 | NTAP | sell | $44.120 | short |
2014-01-27 11:35:26 | NTAP | buy | $44.170 | short |
2014-01-27 11:35:28 | NTAP | buy | $44.160 | short |
2014-01-27 11:35:28 | NTAP | buy | $44.160 | short |
2014-01-27 11:35:28 | NTAP | buy | $44.160 | short |
2014-01-27 11:35:51 | NTAP | buy | $44.150 | 0 |
2014-01-27 12:00:27 | NTAP | sell | $43.960 | short |
2014-01-27 12:00:33 | NTAP | sell | $43.960 | short |
2014-01-27 12:00:34 | NTAP | sell | $43.960 | short |
2014-01-27 12:00:35 | NTAP | sell | $43.950 | short |
2014-01-27 12:00:35 | NTAP | sell | $43.950 | short |
2014-01-27 12:00:35 | NTAP | sell | $43.950 | short |
2014-01-27 12:29:21 | NTAP | buy | $43.920 | short |
2014-01-27 12:29:25 | NTAP | buy | $43.910 | short |
2014-01-27 12:29:25 | NTAP | buy | $43.910 | short |
2014-01-27 12:29:25 | NTAP | buy | $43.920 | short |
2014-01-27 12:29:25 | NTAP | buy | $43.920 | 0 |
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1st short was early and the second one bit late. Ideal short was where you break down that level where u 1st covered.