Primo trade: panic sellato al drop, ed addato al massimo, oltre che non ho chiuso nessuna posizione al livello di target 3:1.
Secondo trade: trade decisamente non molto corretto in base al mio stile di trading.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-02-04 09:47:51 | PLUG | buy | $69.130 | long |
2021-02-04 09:47:56 | PLUG | buy | $69.216 | long |
2021-02-04 09:48:54 | PLUG | sell | $69.520 | long |
2021-02-04 09:51:55 | PLUG | sell | $69.880 | long |
2021-02-04 09:52:24 | PLUG | sell | $70.030 | long |
2021-02-04 09:54:52 | PLUG | sell | $69.530 | long |
2021-02-04 09:59:45 | PLUG | buy | $70.150 | long |
2021-02-04 10:02:21 | PLUG | sell | $69.850 | 0 |
2021-02-04 10:19:55 | PLUG | buy | $70.070 | long |
2021-02-04 10:20:56 | PLUG | buy | $70.030 | long |
2021-02-04 10:22:21 | PLUG | sell | $70.280 | long |
2021-02-04 10:23:20 | PLUG | sell | $70.410 | long |
2021-02-04 10:26:03 | PLUG | sell | $70.060 | 0 |
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