Entered long with a small position when it looked like it was done pulling back from the morning breakout. Added shares after price confirmation. Sold partial into the spike. Stopped out for rest when that big red candle dropped at 11:55. $199.81 gain
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-05-29 10:34:31 | ASTC | buy | $3.810 | long |
2014-05-29 10:41:07 | ASTC | buy | $3.840 | long |
2014-05-29 10:41:09 | ASTC | buy | $3.830 | long |
2014-05-29 10:41:09 | ASTC | buy | $3.830 | long |
2014-05-29 10:41:09 | ASTC | buy | $3.830 | long |
2014-05-29 10:41:10 | ASTC | buy | $3.830 | long |
2014-05-29 10:57:16 | ASTC | buy | $3.850 | long |
2014-05-29 11:08:57 | ASTC | sell | $4.170 | long |
2014-05-29 11:09:03 | ASTC | sell | $4.170 | long |
2014-05-29 11:22:11 | ASTC | buy | $4.020 | long |
2014-05-29 11:22:11 | ASTC | buy | $4.020 | long |
2014-05-29 11:22:11 | ASTC | buy | $4.020 | long |
2014-05-29 11:22:13 | ASTC | buy | $4.040 | long |
2014-05-29 11:53:15 | ASTC | sell | $3.851 | 0 |
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