Selection-A
Direction-A
Size-C
Entry-C
Exit-C
Missed the right entry, then tried to add to compensate, then sold to early because I was carrying too much. Lots of fail going on in this one.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2019-05-01 10:11:14 | CVS | buy | $57.090 | long |
2019-05-01 10:20:46 | CVS | buy | $57.290 | long |
2019-05-01 10:21:21 | CVS | sell | $57.280 | 0 |
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