02/04/2021
Weekly+daily chart are looking set for big break above R1=ATHs=$74 and new highs after 2-month consolidation of last earnings report.
Got long Tier 0 in anticipation of break-out, stop $70. Target mid $80s.
02/05/2021
M@therf@cker exploded thru R1=ATHs=$74 w/o making a pullback to retest the level.
My bids $74-74.2s to reload and add more size never stood a chance.
Let's hope we will get the retest in the following days to add size here.
Sold small in-front of R1=$74, at $76 and $78. Still holding >60%, stop $73.
02/06/2021
Small sell in-front of yesterday's HOD=$79 that seems to be resistance.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-02-04 10:48:49 | SMAR | buy | $72.650 | long |
2021-02-05 09:41:00 | SMAR | sell | $73.890 | long |
2021-02-05 09:43:21 | SMAR | sell | $75.980 | long |
2021-02-05 10:11:43 | SMAR | sell | $77.010 | long |
2021-02-05 10:21:41 | SMAR | sell | $78.070 | long |
2021-02-08 10:14:54 | SMAR | sell | $78.790 | long |
2021-02-10 09:34:19 | SMAR | sell | $79.770 | long |
2021-02-10 10:24:00 | SMAR | buy | $79.100 | long |
2021-02-10 10:42:19 | SMAR | sell | $78.150 | 0 |
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