LOSS= GAIN= 40.50 PROFIT=
LOSSES= WINS= 1 SCRATCHES=
COMMISH= 9.6
GROSS P/L= 30.90
VOLUME= 2400
NOTES:
I bought at the high of a pull back which was stupid. I did do a good job adding on the way up but I really should have left like 200 shares in it after going green just to see what happens. Best entry would have been when it broke HOD but that might have been when I was taking a break after my first win.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-03-06 09:58:23 | NNVC | buy | $11.910 | long |
2020-03-06 09:58:23 | NNVC | buy | $11.910 | long |
2020-03-06 09:58:23 | NNVC | buy | $11.910 | long |
2020-03-06 09:59:10 | NNVC | buy | $11.850 | long |
2020-03-06 09:59:12 | NNVC | buy | $11.800 | long |
2020-03-06 09:59:12 | NNVC | buy | $11.810 | long |
2020-03-06 09:59:55 | NNVC | buy | $11.720 | long |
2020-03-06 10:00:27 | NNVC | sell | $11.840 | long |
2020-03-06 10:00:27 | NNVC | sell | $11.840 | long |
2020-03-06 10:00:33 | NNVC | sell | $11.880 | 0 |
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