il secondo ADD era di troppo, il take a 53,51 è stato un errore, avevo immesso male il livello dell'ordine.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-03-03 09:59:13 | UAL | sell | $53.880 | short |
2021-03-03 10:01:12 | UAL | buy | $53.640 | short |
2021-03-03 10:05:40 | UAL | buy | $53.510 | short |
2021-03-03 10:06:08 | UAL | buy | $53.420 | short |
2021-03-03 10:11:19 | UAL | sell | $53.620 | short |
2021-03-03 10:15:11 | UAL | buy | $53.420 | short |
2021-03-03 10:17:56 | UAL | sell | $53.330 | short |
2021-03-03 10:20:39 | UAL | buy | $53.530 | 0 |
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