Not sure if I gave my stops too much room or got lousy entries.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-01-14 09:48:40 | ADXS | sell | $11.210 | short |
2015-01-14 09:48:40 | ADXS | sell | $11.210 | short |
2015-01-14 10:01:41 | ADXS | sell | $11.400 | short |
2015-01-14 10:01:45 | ADXS | sell | $11.400 | short |
2015-01-14 10:06:35 | ADXS | buy | $11.840 | short |
2015-01-14 10:34:42 | ADXS | sell | $11.620 | short |
2015-01-14 11:10:53 | ADXS | sell | $12.050 | short |
2015-01-14 11:10:53 | ADXS | sell | $12.050 | short |
2015-01-14 11:58:01 | ADXS | buy | $12.008 | short |
2015-01-14 11:58:01 | ADXS | buy | $12.010 | short |
2015-01-14 16:23:01 | ADXS | sell | $12.350 | short |
2015-01-14 16:23:01 | ADXS | sell | $12.350 | short |
2015-01-15 09:31:14 | ADXS | buy | $12.300 | short |
2015-01-16 09:55:54 | ADXS | buy | $12.730 | short |
2015-01-16 09:55:54 | ADXS | buy | $12.730 | short |
2015-01-16 10:00:26 | ADXS | buy | $12.610 | 0 |
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