I made a huge mistake on this trade and brought shares when I meant to sell which cost me on the trade.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-06-24 10:32:10 | FB | buy | $89.130 | long |
2015-06-24 10:34:12 | FB | buy | $89.110 | long |
2015-06-24 10:41:53 | FB | buy | $89.210 | long |
2015-06-24 10:42:29 | FB | sell | $89.230 | long |
2015-06-24 10:43:34 | FB | sell | $89.140 | long |
2015-06-24 10:46:11 | FB | buy | $89.060 | long |
2015-06-24 10:49:20 | FB | sell | $89.170 | long |
2015-06-24 10:53:33 | FB | sell | $89.080 | 0 |
2015-06-24 11:10:08 | FB | buy | $89.080 | long |
2015-06-24 11:16:11 | FB | sell | $88.860 | 0 |
You need to log into your Tradervue account to leave a comment. If you don't have one,
it takes
just a few seconds to sign up, and it's free!