Second really good trade on GME, timing holidays shopping.
Bad- Rushing to get in the trade when it ramp up, should waited for pullback 12.50. Sticky finger but the goal manage my risk to max loss 250, good at sticking through the trade.
Good- Holding through the trade and selling off.
Things I can do better, Looking for those A+ pattern and cutting losses quickly. So I can start really play options.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-10-15 09:41:59 | OCT16 20 13 CALL | buy | $0.6300 | long |
2020-10-15 11:56:20 | OCT16 20 13 CALL | sell | $0.8500 | long |
2020-10-15 11:56:20 | OCT16 20 13 CALL | sell | $0.8500 | 0 |
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