Earnings Q+/+; still has not released twice delayed; audited annual report
44% FS
E1: OD momo; after ODD, bid stepping up; stop 7.50; T1 8.50, T2 9.00, T3 9.28 gbot
X1: pMH 8.35, a bit skittish, was looking for 8.50, took the exit after dropout to 8.20
E2: added on 8.51 held bid; HOM 8.77
X2: exit break of 8.50
E3: reenter as it approached VWAP (8.21) and step up off held bid 8.28; in retrospect poor entry since no sign of bottoming
E4: added as it paused below VWAP and started up; didn't heed held offer 8.24 as a sign of weakness; poor add, still no sign of bottoming and now below VWAP, also adding when it's against me.
E5: puked out at 8.00; need to set my stops for .99 or .98; bounced off 8.00;
Later on HOM 8.27, then saw 8.08-8.10 hold, considered short, but I was spent and called it a day.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-05-30 09:33:32 | NQ | buy | $7.930 | long |
2014-05-30 09:39:39 | NQ | sell | $8.350 | long |
2014-05-30 09:49:27 | NQ | buy | $8.530 | long |
2014-05-30 09:51:27 | NQ | sell | $8.440 | 0 |
2014-05-30 09:53:36 | NQ | buy | $8.320 | long |
2014-05-30 09:54:44 | NQ | buy | $8.160 | long |
2014-05-30 10:00:30 | NQ | sell | $8.000 | 0 |
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