first trade - popped back below 55ema, pulled back with a top tail, but looking at it now I see a nice bullish pullback after getting through VWAP.
Second Trade - Big bear engulf after consolidation, could have added at a couple pullbacks on the way down, and could have gotten out 2R instead of waiting for bigger move.
LL = so many times I've given profit away by trying to scale out and catch the bigger move. Learn to lock it in. Maybe leave 25% on instead of half.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-01-27 10:14:16 | TSLA | sell | $875.880 | short |
2021-01-27 10:16:32 | TSLA | buy | $878.240 | 0 |
2021-01-27 11:06:36 | TSLA | sell | $888.110 | short |
2021-01-27 11:47:45 | TSLA | buy | $881.550 | short |
2021-01-27 12:16:10 | TSLA | buy | $881.570 | 0 |
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