Entry: Shorted on anticipated PB from day high and resistance level on 10-day chart.
Exit: 1/2 to reduce risk (turned up, but pullback thesis and indicators still were valid). Other half when hit 20EMA (turned out to be well timed).
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-05-21 12:49:49 | RMGN | sell | $1.340 | short |
2014-05-21 12:49:51 | RMGN | sell | $1.340 | short |
2014-05-21 12:50:14 | RMGN | sell | $1.340 | short |
2014-05-21 12:50:54 | RMGN | sell | $1.340 | short |
2014-05-21 12:50:54 | RMGN | sell | $1.340 | short |
2014-05-21 12:50:54 | RMGN | sell | $1.340 | short |
2014-05-21 12:51:24 | RMGN | sell | $1.340 | short |
2014-05-21 12:51:24 | RMGN | sell | $1.348 | short |
2014-05-21 13:05:08 | RMGN | buy | $1.355 | short |
2014-05-21 13:05:12 | RMGN | buy | $1.360 | short |
2014-05-21 13:05:12 | RMGN | buy | $1.360 | short |
2014-05-21 13:12:29 | RMGN | buy | $1.300 | 0 |
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Low volume stock are tricky to day trade. Notice the gaps in the intraday chart. Better to swing trade them IMO.