I thought this was flagging and going to get squeezed up by the EMAs. At this point, I was beginning to get caught up in trading my P&L, and the mistakes started to get made.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-05-19 10:35:44 | EMES | buy | $82.250 | long |
2014-05-19 10:35:46 | EMES | buy | $82.180 | long |
2014-05-19 10:35:46 | EMES | buy | $82.180 | long |
2014-05-19 10:35:46 | EMES | buy | $82.170 | long |
2014-05-19 10:35:47 | EMES | buy | $82.170 | long |
2014-05-19 10:35:47 | EMES | buy | $82.160 | long |
2014-05-19 10:35:47 | EMES | buy | $82.220 | long |
2014-05-19 10:35:47 | EMES | buy | $82.150 | long |
2014-05-19 10:51:18 | EMES | sell | $81.950 | long |
2014-05-19 10:51:18 | EMES | sell | $81.950 | long |
2014-05-19 10:51:20 | EMES | sell | $81.950 | long |
2014-05-19 10:51:20 | EMES | sell | $81.950 | long |
2014-05-19 10:51:20 | EMES | sell | $81.920 | long |
2014-05-19 10:51:20 | EMES | sell | $81.960 | long |
2014-05-19 10:51:20 | EMES | sell | $81.920 | long |
2014-05-19 10:51:28 | EMES | sell | $81.954 | 0 |
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