Not sure how that happened, but on the first entry I got it for much lower price than actual.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-08-13 09:47:43 | CSIQ | buy | $27.080 | long |
2014-08-13 09:51:14 | CSIQ | sell | $27.070 | 0 |
2014-08-13 09:58:19 | CSIQ | buy | $27.080 | long |
2014-08-13 10:08:39 | CSIQ | sell | $28.420 | 0 |
2014-08-13 10:22:06 | CSIQ | buy | $28.960 | long |
2014-08-13 11:19:24 | CSIQ | sell | $29.800 | 0 |
2014-08-13 11:38:55 | CSIQ | buy | $29.390 | long |
2014-08-13 12:09:40 | CSIQ | sell | $29.280 | 0 |
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