First trade was too early. Second trade caught bottom but not breaking 0.022 so cut losses quickly. It held 0.021 and moved higher. Bought the 0.022 breakout but just cut losses as it failed to break 0.023. Maybe if I didn't add, I might not have been scared out of my position but it's fine. The big mistake here was chasing the bounce and not actually allowing it to retest the support before I enter
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-04-16 09:32:09 | VPER | buy | $0.0228 | long |
2021-04-16 09:33:26 | VPER | sell | $0.0223 | 0 |
2021-04-16 09:34:34 | VPER | buy | $0.0200 | long |
2021-04-16 09:42:08 | VPER | sell | $0.0217 | long |
2021-04-16 09:43:16 | VPER | buy | $0.0212 | long |
2021-04-16 09:44:04 | VPER | sell | $0.0213 | 0 |
2021-04-16 09:46:34 | VPER | buy | $0.0224 | long |
2021-04-16 09:49:03 | VPER | buy | $0.0225 | long |
2021-04-16 09:50:36 | VPER | sell | $0.0220 | 0 |
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