I was playing this for a breakout, it was late in the trading day and I was waiting for the end of the day run. The stock never did breakout, I had terrible risk management and I averaged down and added to my losing position which made my loss even bigger.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-07-20 15:01:17 | FB | buy | $98.230 | long |
2015-07-20 15:10:04 | FB | sell | $98.330 | 0 |
2015-07-20 15:33:16 | FB | buy | $98.420 | long |
2015-07-20 15:35:23 | FB | buy | $98.380 | long |
2015-07-20 15:41:27 | FB | sell | $98.090 | 0 |
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the tail end of a big run and also u had no pattern. there were flags earlier in the day remember this is a huge float stock so u need big dips and consolidations