Trade 1
- With volume coming in and we've broken through pre-market highs.
- I waited for the pullback on the 1m and got a good entry
- Good patience holding through the next leg up, and flagging.
- Held for the next leg and sold half into some momentary resistance.
- Held remaining shares too long, missing a lot of upside
Trade 2
- Tried to play a bounce off the initial breakout at ~$25.13 support, risking the whole dollar.
- We were wedging and this was a trade where I had decently defined risk and I would know pretty quickly if I was right or wrong.
- It didn't take long to find a direction and it wasn't my way. Cut it for 11c loss.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-03-08 10:03:35 | RKT | buy | $25.210 | long |
2021-03-08 10:10:40 | RKT | sell | $26.420 | long |
2021-03-08 10:16:53 | RKT | sell | $26.260 | 0 |
2021-03-08 13:37:00 | RKT | buy | $25.220 | long |
2021-03-08 13:40:28 | RKT | sell | $25.110 | 0 |
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