Took a BTD on another test of our balance level between 680 and 670. First 2 targets hit before 09:47. Pulled my main target down based on VP and structure below the higher balance level. Last target hit around 09:50. Traded that perfectly, trusted my strategy, pulled the trigger and managed it according to the plan. That's way more important than how the PnL prints
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-05-07 09:44:07 | MNQM1 | buy | $13680.50 | long |
2021-05-07 09:44:07 | MNQM1 | buy | $13680.50 | long |
2021-05-07 09:44:07 | MNQM1 | buy | $13680.50 | long |
2021-05-07 09:44:23 | MNQM1 | sell | $13690.00 | long |
2021-05-07 09:45:11 | MNQM1 | sell | $13718.00 | long |
2021-05-07 09:49:23 | MNQM1 | sell | $13735.50 | 0 |
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