"Q3 Non-GAAP EPS of $1.25 beats by $0.23; GAAP EPS of $0.83 beats by $0.12.
Revenue of $1.09B (+9.0% Y/Y) beats by $50M. The in-line Q4 outlook has revenue of $1.08-1.1B (consensus: $1.07B)."
95 developed as a key level right on the open with big size holding down 95. when this level broke and the size was taken out I went long 30 cent risk using r multiples to exit.
Entry: over 95
risk: 30 cents
management: scratch
Have been trying to work out a way to deal with the spread and my risk. What it comes down to is that if price trades below by entry or teh key level once it breaks, I am probably wrong. had i used 10 cent risk, I would have been out almost everything AND I could have been in bigger size.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2019-08-22 09:31:28 | KEYS | buy | $95.100 | long |
2019-08-22 09:31:53 | KEYS | sell | $95.350 | long |
2019-08-22 09:32:30 | KEYS | sell | $94.840 | long |
2019-08-22 09:32:30 | KEYS | sell | $94.760 | 0 |
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