Flipped short after taking a loss. Thought we were going to lose the bid. We just had more chop and the bid stayed. Overtrading. Decent stop out in terms of P/L loss, but perhaps could have done a better job with tape.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-06-01 14:43:13 | JUN12 20 52 PUT | buy | $1.250 | long |
2020-06-01 14:43:21 | JUN12 20 52 PUT | buy | $1.250 | long |
2020-06-01 14:43:26 | JUN12 20 52 PUT | buy | $1.250 | long |
2020-06-01 14:57:30 | JUN12 20 52 PUT | buy | $1.250 | long |
2020-06-01 15:23:44 | JUN12 20 52 PUT | sell | $1.180 | 0 |
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Pull back to 53?