My first trade was the worst trade. I chase the b/o of 1.05 after the alert at 1.00. Better entry was to wait for the dip and buy lower @ mid 1.00s. bought @ 1.09. Went to 1.19. Should've sold right as it fail to b/o of 1.20. or the lower high. Risk was 1.00. Out @ 0.99. Second trade was not too good since it didn't break downtrend. Out on break of risk. Third trade was okay but cut my losses. Overall: lost about 5%.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-12-14 12:04:32 | IZEA | buy | $1.090 | long |
2020-12-14 12:49:04 | IZEA | sell | $0.9900 | 0 |
2020-12-14 13:31:38 | IZEA | buy | $0.9650 | long |
2020-12-14 13:32:32 | IZEA | sell | $0.9485 | 0 |
2020-12-14 13:44:51 | IZEA | buy | $1.005 | long |
2020-12-14 13:55:37 | IZEA | sell | $0.9651 | 0 |
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