We decided to get into a swing calls for a possible run up into the close & gap up on Monday.
We got a big selloff after we got into the position.
After the selloff would have been a much better entry.
Addendum:
Sold the contracts Monday in first 2 minutes for fear of BYND going down and losing profits.
Made a profit, but should have held it throughout the day for super gains. Fear got in the way :(
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-01-10 15:01:00 | JAN17 20 99 CALL | buy | $3.600 | long |
2020-01-13 09:31:00 | JAN17 20 99 CALL | sell | $4.750 | 0 |
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