Bought in after a pullback buying in and taking profit as it gapped up. Sold out as it started to look like it was going to pull back again and with the market being slow lately I didn't want to get caught in a flush down.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-04-19 09:44:52 | CLOV | buy | $9.510 | long |
2021-04-19 09:44:54 | CLOV | buy | $9.540 | long |
2021-04-19 09:44:54 | CLOV | buy | $9.540 | long |
2021-04-19 09:45:58 | CLOV | sell | $9.630 | long |
2021-04-19 09:47:05 | CLOV | buy | $9.710 | long |
2021-04-19 09:47:05 | CLOV | buy | $9.710 | long |
2021-04-19 09:47:31 | CLOV | sell | $9.770 | long |
2021-04-19 09:48:01 | CLOV | buy | $10.030 | long |
2021-04-19 09:48:02 | CLOV | buy | $10.050 | long |
2021-04-19 09:48:13 | CLOV | sell | $9.930 | 0 |
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