entry at 12:43, i meant to cover not add. but i kept trying to anticipate this one and came in when it didn't have time to consolidate.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-10-14 12:28:47 | MBLY | sell | $45.460 | short |
2014-10-14 12:28:48 | MBLY | sell | $45.440 | short |
2014-10-14 12:43:46 | MBLY | sell | $45.640 | short |
2014-10-14 12:43:58 | MBLY | sell | $45.700 | short |
2014-10-14 12:43:58 | MBLY | sell | $45.680 | short |
2014-10-14 12:45:00 | MBLY | buy | $45.690 | short |
2014-10-14 12:45:07 | MBLY | buy | $45.731 | short |
2014-10-14 12:45:21 | MBLY | buy | $45.751 | short |
2014-10-14 12:45:21 | MBLY | buy | $45.778 | short |
2014-10-14 12:45:21 | MBLY | buy | $45.779 | short |
2014-10-14 12:45:21 | MBLY | buy | $45.770 | 0 |
2014-10-14 12:58:55 | MBLY | sell | $45.256 | short |
2014-10-14 12:58:57 | MBLY | sell | $45.252 | short |
2014-10-14 13:13:42 | MBLY | buy | $45.670 | short |
2014-10-14 13:13:43 | MBLY | buy | $45.717 | 0 |
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