Strategy: lots of daily weakness on the chart. Waited for the break on the daily to load up
Execution: Sized in in anticipation of a massive breakdown
Did well: Good anticipation
Do better: Smaller size, perhaps scale more once breakdown happens.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-07-27 10:14:26 | 30 JUL 21 72 PUT | buy | $0.6900 | long |
2021-07-27 10:14:26 | 30 JUL 21 72 PUT | buy | $0.6900 | long |
2021-07-27 10:20:56 | 30 JUL 21 72 PUT | buy | $0.6200 | long |
2021-07-27 10:22:45 | 30 JUL 21 72 PUT | buy | $0.6200 | long |
2021-07-27 10:22:45 | 30 JUL 21 72 PUT | buy | $0.6000 | long |
2021-07-27 10:23:53 | 30 JUL 21 72 PUT | buy | $0.5900 | long |
2021-07-27 10:23:53 | 30 JUL 21 72 PUT | buy | $0.5900 | long |
2021-07-27 10:23:53 | 30 JUL 21 72 PUT | buy | $0.5900 | long |
2021-07-27 10:25:44 | 30 JUL 21 72 PUT | buy | $0.6100 | long |
2021-07-27 10:25:44 | 30 JUL 21 72 PUT | buy | $0.6100 | long |
2021-07-27 10:41:23 | 30 JUL 21 72 PUT | sell | $1.120 | long |
2021-07-27 10:41:23 | 30 JUL 21 72 PUT | sell | $1.120 | 0 |
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