On main watch for a 2nd-Day Play and flush to S2=magnet daily support=$100. Premarket plan was to get "short" only if it lost and held below S1=Day I LOD=$101.5.
Played as expected. Opened weak, flushed below S1=Day I LOD=$101.5, got rejected at the retracement to this level, so
Got short Tier 0 a bit too early, added Tier I after I got confirmation, risking tight stop above S1 $101.75s, expecting the flush to S2=$100.
Covered bulk at $100.5s then decided to get flat..
(-) Why I didn't hold rest for the move to target?? Bad decision one more time.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-02-26 09:38:44 | BBY | sell | $101.060 | short |
2021-02-26 09:48:27 | BBY | sell | $101.340 | short |
2021-02-26 09:55:16 | BBY | sell | $101.200 | short |
2021-02-26 10:01:56 | BBY | buy | $100.460 | short |
2021-02-26 10:04:16 | BBY | buy | $100.490 | 0 |
You need to log into your Tradervue account to leave a comment. If you don't have one,
it takes
just a few seconds to sign up, and it's free!