not ideal with the big run day before earnings but I thought it had potential.
traded plan using correct size just didnt work out.
bought at top of range that was a error.
just buying at the low of range could have saved me 2 points of risk
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-02-20 09:36:15 | SEDG | buy | $137.990 | long |
2020-02-20 09:38:52 | SEDG | sell | $136.890 | long |
2020-02-20 09:42:09 | SEDG | sell | $134.400 | 0 |
2020-02-20 10:22:13 | SEDG | buy | $136.500 | long |
2020-02-20 11:01:13 | SEDG | sell | $135.160 | 0 |
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