a. Risk 40c
b. FB weak all day to the market
c. Minor bounce off the PM lows still looking sold
d. Ramping V looking good
e. Shorted a tad early but liberal stop
f. My first target came within 7c shame
g. ES blew this trade. Helped to start but blew through my levels
h. Improvements:
i. When we got the dump on low V into my target area I could have not been penny fucking and taken some profits
i. Good:
i. Saw it going against me quick fast in a hurry with solid V on the upside, and I bailed out B/E instead of holding it. Happy I didn’t force it.
ii. I had a logical target and I was positioned for a big move if the market agreed
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-09-17 10:29:06 | FB | sell | $257.570 | short |
2020-09-17 10:34:08 | FB | buy | $257.580 | 0 |
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