I should have sold half into original pop and then play the other 50% until I had a reason to sell. Could have bought after it dipped back to original buy spot.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-10-31 09:44:17 | PLUG | buy | $4.561 | long |
2014-10-31 10:58:52 | PLUG | buy | $4.701 | long |
2014-10-31 10:58:52 | PLUG | buy | $4.700 | long |
2014-10-31 11:33:11 | PLUG | sell | $4.645 | long |
2014-10-31 11:33:11 | PLUG | sell | $4.648 | long |
2014-10-31 11:33:11 | PLUG | sell | $4.645 | long |
2014-10-31 11:33:23 | PLUG | sell | $4.647 | long |
2014-10-31 11:33:38 | PLUG | sell | $4.649 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.643 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.647 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.648 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.644 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.643 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.646 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.645 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.645 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.646 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.646 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.644 | long |
2014-10-31 11:33:48 | PLUG | sell | $4.643 | long |
2014-11-03 09:36:39 | PLUG | sell | $4.940 | 0 |
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