I went way to big on this trade. I bought as the stock pulled back to the VWAP and 9 EMA expecting a continued run. My risk was not well managed as the stock has a decent size range. I had my stop-loss to far away and directly on support. If anything I should have been entering as the stock was rounding up along support where my reward to risk would have been much better.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-02-19 10:13:09 | JUNO | buy | $43.530 | long |
2015-02-19 10:27:49 | JUNO | sell | $42.920 | 0 |
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