On main watch for the remount of R1=major daily support level=$44, after big sell-off that brought price from $55 down to $40.
Premarket plan was to get "long" only if it managed to clear and hold above R1=$44, risking tight stop below the level, expecting the move to R2=9SMA@daily=$45.
Played per plan. Opened below R1, broke above,
Got long Tier 0 at the pullback to R1, risking LOD=$43.5, added two momo tiers for the bull-flag resolution, tightening stop to $43.75 for the whole size, expecting R2=$45 to come fast.
Broke the flag and moved quickly to target. Sold small $44.7s....and then got flat after putting wrong offer. Happens:/
Went up to $45.2 before rolling over, left some 50c on the table here.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-05-18 09:42:54 | DKNG | buy | $44.060 | long |
2021-05-18 10:10:28 | DKNG | buy | $44.150 | long |
2021-05-18 10:19:07 | DKNG | buy | $44.240 | long |
2021-05-18 10:29:48 | DKNG | sell | $44.680 | long |
2021-05-18 10:31:30 | DKNG | sell | $44.620 | 0 |
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