I know why now but I was just caught up into this trade...
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-03-06 10:48:14 | YY | buy | $59.790 | long |
2015-03-06 10:48:14 | YY | buy | $59.774 | long |
2015-03-06 10:48:18 | YY | buy | $59.773 | long |
2015-03-06 10:48:18 | YY | buy | $59.773 | long |
2015-03-06 10:49:52 | YY | sell | $60.094 | long |
2015-03-06 10:53:48 | YY | sell | $60.200 | long |
2015-03-06 10:58:21 | YY | buy | $60.134 | long |
2015-03-06 10:58:21 | YY | buy | $60.131 | long |
2015-03-06 10:58:30 | YY | buy | $60.131 | long |
2015-03-06 10:58:43 | YY | buy | $60.142 | long |
2015-03-06 10:58:43 | YY | sell | $60.165 | long |
2015-03-06 10:58:43 | YY | sell | $60.148 | long |
2015-03-06 10:58:43 | YY | sell | $60.142 | long |
2015-03-06 10:58:43 | YY | sell | $60.139 | long |
2015-03-06 10:58:43 | YY | sell | $60.137 | long |
2015-03-06 10:58:43 | YY | sell | $60.136 | long |
2015-03-06 10:58:43 | YY | sell | $60.135 | long |
2015-03-06 10:58:43 | YY | sell | $60.139 | long |
2015-03-06 10:58:43 | YY | sell | $60.141 | long |
2015-03-06 10:58:43 | YY | sell | $60.144 | long |
2015-03-06 10:58:51 | YY | sell | $60.143 | long |
2015-03-06 10:59:44 | YY | sell | $60.000 | 0 |
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