Bought the open 1000 shares. With stop loss at initial trade price. Sold way to soon. Should of let the trade work for me more.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-01-13 12:20:39 | AFRM | buy | $91.460 | long |
2021-01-13 12:20:39 | AFRM | buy | $91.500 | long |
2021-01-13 12:22:01 | AFRM | sell | $92.650 | 0 |
2021-01-13 12:23:31 | AFRM | buy | $93.000 | long |
2021-01-13 12:23:31 | AFRM | buy | $93.000 | long |
2021-01-13 12:23:31 | AFRM | buy | $93.000 | long |
2021-01-13 12:24:29 | AFRM | buy | $91.660 | long |
2021-01-13 12:24:29 | AFRM | buy | $91.690 | long |
2021-01-13 12:24:30 | AFRM | buy | $91.690 | long |
2021-01-13 12:25:25 | AFRM | sell | $92.820 | long |
2021-01-13 12:25:25 | AFRM | sell | $92.800 | 0 |
2021-01-13 12:26:13 | AFRM | buy | $92.970 | long |
2021-01-13 12:26:32 | AFRM | sell | $92.250 | 0 |
2021-01-13 12:27:02 | AFRM | buy | $92.480 | long |
2021-01-13 12:27:16 | AFRM | sell | $92.890 | 0 |
2021-01-13 12:28:01 | AFRM | buy | $92.730 | long |
2021-01-13 12:28:37 | AFRM | sell | $92.770 | 0 |
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