Entry: Expecting PB at or below previous high @44.4. Scaled up/out to reduce risk.
Exit: Risk reduction, and all out once I'd covered the losses, since it didn't move like I expected.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-06-04 14:59:17 | RENT | sell | $44.200 | short |
2014-06-04 15:03:37 | RENT | sell | $44.540 | short |
2014-06-04 15:04:22 | RENT | sell | $44.820 | short |
2014-06-04 15:06:05 | RENT | sell | $45.020 | short |
2014-06-04 15:09:08 | RENT | buy | $44.720 | short |
2014-06-04 15:09:08 | RENT | buy | $44.720 | short |
2014-06-04 15:19:22 | RENT | buy | $44.550 | short |
2014-06-04 15:19:40 | RENT | buy | $44.540 | 0 |
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