Got in on the pullback to EMA's, sold half at highs, replaced those shares on another pullback, sold them after a small pop and then got out the rest when it broke my buy price.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-01-26 10:10:49 | LUV | buy | $45.870 | long |
2015-01-26 10:10:50 | LUV | buy | $45.868 | long |
2015-01-26 10:13:32 | LUV | sell | $46.120 | long |
2015-01-26 10:19:12 | LUV | buy | $45.870 | long |
2015-01-26 10:20:17 | LUV | sell | $45.950 | long |
2015-01-26 10:23:16 | LUV | sell | $45.810 | 0 |
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