LOSS= GAIN= 38.5 PROFIT=
LOSSES= WINS= 3 SCRATCHES=
COMMISH= 7.2
GROSS P/L= 31.3
VOLUME= 1,800
NOTES:
Good trades but poor reward goal. Really cut myself short on each of these trades.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-03-25 13:02:38 | SPXL | buy | $24.560 | long |
2020-03-25 13:02:58 | SPXL | sell | $24.590 | long |
2020-03-25 13:02:59 | SPXL | sell | $24.600 | long |
2020-03-25 13:02:59 | SPXL | sell | $24.600 | long |
2020-03-25 13:02:59 | SPXL | sell | $24.600 | long |
2020-03-25 13:02:59 | SPXL | sell | $24.600 | 0 |
2020-03-25 13:37:13 | SPXL | buy | $25.370 | long |
2020-03-25 13:37:13 | SPXL | buy | $25.370 | long |
2020-03-25 13:37:31 | SPXL | sell | $25.430 | 0 |
2020-03-25 13:43:07 | SPXL | buy | $25.710 | long |
2020-03-25 13:43:20 | SPXL | sell | $25.740 | 0 |
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