Dip-buy at the flush to S1=long-term daily/weekly resistance level=major break-out pivot=$1110....didn't work as planned.
Got long filler size in-front of S1=$1110, risking wide stop $1085, added Tier 0 when it reclaimed the level + VWAP remount, tightening stop to LOD=$1090, expecting a full reversal - RDR buy candle - and reclaim of yesterday's low+close=$1130.
Sold half at the push to target (yesterday's low+close=$1130), held rest thinking "swing" and higher prices the following days.
Got hit pretty bad with overall market, stopped at b/e.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-01-04 09:36:04 | SHOP | buy | $1111.060 | long |
2021-01-04 09:56:21 | SHOP | buy | $1111.000 | long |
2021-01-04 10:23:19 | SHOP | sell | $1139.800 | long |
2021-01-04 11:04:32 | SHOP | sell | $1110.180 | 0 |
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