Rationale:
Recap:
IVR=
IV/HV=
Potential ROC=
Key corporate events (earnings, dividend, investor day, etc.)=
How much risk should/did I take?
Trade Planning
-structure:
-major support:
-add point:
-stop loss:
-take profit price / risk-reduction plan:
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2019-05-14 09:50:23 | JUN21 19 42.5 CALL | buy | $4.500 | long |
2019-05-14 11:04:24 | JUN21 19 42.5 CALL | sell | $4.550 | long |
2019-05-14 11:05:30 | JUN21 19 42.5 CALL | sell | $4.500 | long |
2019-05-14 11:05:37 | JUN21 19 42.5 CALL | sell | $4.550 | 0 |
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