era da prestare più attenzione alle size delle exit, le prime erano troppo grandi e il secondo ADD è stato troppo in anticipo si doveva aspettare ancora un po'.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-01-27 09:35:27 | NCLH | buy | $23.217 | long |
2021-01-27 09:35:27 | NCLH | buy | $23.220 | long |
2021-01-27 09:36:58 | NCLH | sell | $23.390 | long |
2021-01-27 09:37:15 | NCLH | sell | $23.570 | long |
2021-01-27 09:47:47 | NCLH | sell | $23.380 | long |
2021-01-27 09:57:14 | NCLH | buy | $23.498 | long |
2021-01-27 09:58:42 | NCLH | sell | $23.580 | long |
2021-01-27 10:02:35 | NCLH | sell | $23.760 | long |
2021-01-27 10:11:41 | NCLH | buy | $23.739 | long |
2021-01-27 10:12:15 | NCLH | sell | $23.830 | long |
2021-01-27 10:17:03 | NCLH | sell | $23.940 | long |
2021-01-27 10:17:23 | NCLH | sell | $24.040 | long |
2021-01-27 10:18:18 | NCLH | sell | $24.130 | long |
2021-01-27 10:18:52 | NCLH | sell | $24.250 | long |
2021-01-27 10:20:18 | NCLH | sell | $24.320 | 0 |
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