On watch for quite some time now.
Great daily+weekly, preparing the break-out of $180.
Opened strong and immediately took out R1=$180 resistance.
Alert hit, placed bids at $180.5 and $180.15s, expecting the pullback and retest of R1.
Long Tier 0, risking LOD=$178, as it made the pullback, but got filled on only one of the two orders. Didn't want to chase those thin, low momo names, so I left it alone with a sell order at $184.5.
Got out by hotkey mistake at a bad price.
(-) Could+Should have added back shares at the consolidation above VWAP and below R2=$184.5. Missed the 2nd leg higher to $186.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-06-03 09:39:16 | KLAC | buy | $180.360 | long |
2020-06-03 10:22:53 | KLAC | sell | $182.240 | 0 |
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