First trade was a 9EMA pullback, first entry was kinda high so I added at $9.56. Second trade I was looking for the 20EMA pullback but didn't have the patience to wait and ended up closing.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-01-27 11:04:48 | ADXS | buy | $9.650 | long |
2015-01-27 11:04:59 | ADXS | buy | $9.560 | long |
2015-01-27 11:04:59 | ADXS | buy | $9.560 | long |
2015-01-27 11:04:59 | ADXS | buy | $9.560 | long |
2015-01-27 11:11:09 | ADXS | sell | $9.740 | long |
2015-01-27 11:12:00 | ADXS | sell | $9.780 | 0 |
2015-01-27 11:56:22 | ADXS | buy | $9.720 | long |
2015-01-27 11:56:41 | ADXS | buy | $9.740 | long |
2015-01-27 12:00:11 | ADXS | sell | $9.770 | 0 |
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