I completely botched that trade. Left min. $10/share & covered way too quickly...
Had put alert in case it went back to R1=bottom of multi-month (back from September 20) channel=$456 that managed to break and close below yesterday. I would short that back-test any day.
Rallied all the way to R1,
got short filler risking wide stop $458.5s as this thing doesn't trade well, added half-tier after 2min doji, added another half-tier after lower high and close below R1, bringing stop to HOD=$457.5, targeting VWAP.
(-) Covered way too earlyy...Exceptional entry, got market alignment, everything turned south. I should have been way more conservative with exits here and think bigger picture + reason2sell.
(-) That's a trade to swing "short"...
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-03-04 11:42:03 | ADBE | sell | $455.740 | short |
2021-03-04 11:49:28 | ADBE | sell | $456.880 | short |
2021-03-04 12:11:09 | ADBE | sell | $455.290 | short |
2021-03-04 12:12:15 | ADBE | buy | $453.840 | short |
2021-03-04 12:21:01 | ADBE | buy | $452.190 | short |
2021-03-04 12:21:41 | ADBE | buy | $450.350 | 0 |
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