Setup: --------------------------Intraday Breakdown
Entry: --------------------------28.79
Shares: -------------------------300
Stop: ---------------------------29
T1: -----------------------------28.50
T2: -----------------------------
Reward:Risk Ratio (T1): ---------1.4
Exit: ---------------------------28.45
Comment:
Worked out, but risk return was poor.
Profit/(Loss):------------------ +99.42
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-09-26 11:31:34 | DMND | sell | $28.786 | short |
2014-09-26 11:31:45 | DMND | sell | $28.786 | short |
2014-09-26 11:31:45 | DMND | sell | $28.792 | short |
2014-09-26 11:48:57 | DMND | buy | $28.500 | short |
2014-09-26 11:55:36 | DMND | buy | $28.400 | short |
2014-09-26 12:11:24 | DMND | buy | $28.470 | 0 |
hey this is good ur finding ur goto setup here..
now the key is going to be in some markets where ur shorting is often considered a flag so make sure to always limit ur risk
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What is your stop loss on this trade ? Why do you think R/R is poor ? Thanks.