volevo fare un terzo ADD verso l'entry ma sono stato indeciso e per questo non era dentro con tutta la posizione. il resto della posizione è stata gestita abbastanza bene.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-02-18 09:42:02 | LI | buy | $29.390 | long |
2021-02-18 09:43:30 | LI | buy | $29.410 | long |
2021-02-18 09:49:04 | LI | sell | $29.620 | long |
2021-02-18 09:50:35 | LI | sell | $29.710 | long |
2021-02-18 09:51:08 | LI | sell | $29.790 | long |
2021-02-18 09:51:11 | LI | sell | $29.840 | long |
2021-02-18 09:53:22 | LI | sell | $29.950 | long |
2021-02-18 09:54:12 | LI | sell | $30.000 | long |
2021-02-18 09:54:16 | LI | sell | $30.070 | long |
2021-02-18 09:54:16 | LI | sell | $30.070 | long |
2021-02-18 09:58:50 | LI | buy | $30.120 | long |
2021-02-18 09:58:50 | LI | buy | $30.120 | long |
2021-02-18 09:59:55 | LI | sell | $30.280 | long |
2021-02-18 10:00:25 | LI | sell | $30.360 | long |
2021-02-18 10:03:03 | LI | sell | $30.270 | long |
2021-02-18 10:04:09 | LI | sell | $30.220 | 0 |
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