The first trade, I exited too early on the morning panic dip buy when it look like it was failing to break 0.0188. Thes second trade was FOMO on the breakout. Bought too early in the pullback. Should've let it test the 0.0249 breakout level. Cut losses. Not the best. The 3rd trade was a cut losses quickly when no bounce. the fourth trade was nice except that I should've sold in the 0.024 when it show that 0.0244 was not breaking. Cut losses quickly.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-04-26 12:00:00 | GGII | buy | $0.0182 | long |
2021-04-26 12:00:00 | GGII | sell | $0.0188 | 0 |
2021-04-26 12:00:00 | GGII | buy | $0.0255 | long |
2021-04-26 12:00:00 | GGII | sell | $0.0242 | 0 |
2021-04-26 12:00:00 | GGII | buy | $0.0242 | long |
2021-04-26 12:00:00 | GGII | sell | $0.0242 | 0 |
2021-04-26 12:00:00 | GGII | buy | $0.0236 | long |
2021-04-26 12:00:00 | GGII | sell | $0.0238 | 0 |
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