First trade: Good entry. Waited for multiple confirmations on different time frames, high volume with large candle breakout on 1m and 5m charts. Patience was key here. CALL
Second trade: Following the bullish tendency, opened position at breakout on 1m and 5m chart. But there was a fakeout on the 15m chart. Stopped out just below the support area. Good entry, and good stop-loss. PUT
Third trade: Bearish tendency, entry at broken support with average volume.
Need to adjust the risk:reward (2:1.5).
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-05-20 09:43:35 | SPY | buy | $1.490 | long |
2021-05-20 09:50:03 | SPY | sell | $1.690 | 0 |
2021-05-20 10:03:47 | SPY | buy | $1.780 | long |
2021-05-20 10:09:52 | SPY | sell | $1.620 | 0 |
2021-05-20 12:24:11 | SPY | buy | $0.8200 | long |
2021-05-20 12:38:06 | SPY | sell | $0.9200 | 0 |
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