VWAP false breakout trade on NIO. EV's were under pressure that day.
What did I do well?
-Trailing stop for the last partial (allowing me to maximize my gains on the last partial and not giving too much back).
What could I improve?
-Could've potentially added risk back to the position after my first three partials and the pullback.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-12-01 09:53:15 | NIO | sell | $50.310 | short |
2020-12-01 09:53:18 | NIO | sell | $50.310 | short |
2020-12-01 09:53:18 | NIO | sell | $50.270 | short |
2020-12-01 09:56:08 | NIO | buy | $50.005 | short |
2020-12-01 09:56:56 | NIO | buy | $49.740 | short |
2020-12-01 09:56:56 | NIO | buy | $49.740 | short |
2020-12-01 09:56:56 | NIO | buy | $49.740 | short |
2020-12-01 09:56:56 | NIO | buy | $49.740 | short |
2020-12-01 09:59:48 | NIO | buy | $49.570 | short |
2020-12-01 10:05:41 | NIO | buy | $49.005 | short |
2020-12-01 10:12:20 | NIO | buy | $48.080 | 0 |
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