Reason for Entry: Entered with really small size, very wide SL, low risk percentage-wise,added to position once it continued making HLs, entry @1.32 was FOMO, still managed size and had a structure-based plan, overall a great trade.
Reason for Exit: Strong pullback on a very volatile stock, hit SL after gap up open.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-04-14 10:46:19 | VISL | buy | $0.1600 | long |
2020-05-11 09:55:30 | VISL | buy | $0.2740 | long |
2020-06-05 09:54:13 | VISL | sell | $1.220 | 0 |
2020-06-05 10:04:08 | VISL | buy | $1.320 | long |
2020-06-05 10:29:29 | VISL | sell | $0.9900 | 0 |
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