First trade: Excellent entry when I saw a reversal at premarket hi key level on the third candle and when I saw that $AAPL run almost $1 dollar even before the 5 min candle, which it's not used to be.
Second trade: Good entry on the breakdown at the previous day lo key level, increasing my size accordingly to my plan.
Third trade: Very bad entry, and this entry was the one who cost me today. My plan was to made my third entry at the premarket lo key level, but I got desperate (again!) and entered my full position on a trade with no confirmation. I just saw a breakdown with a big candle at the open price. My size position on this trade was too crazy and I know that I should not be doing that.
I've noticed that when $AAPL make a big movement on the firsts minutes, stays sideways or "choppy market". I need to take a look on this.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-07-30 09:32:18 | AAPL | buy | $1.850 | long |
2021-07-30 09:35:15 | AAPL | buy | $2.160 | long |
2021-07-30 09:36:27 | AAPL | buy | $2.250 | long |
2021-07-30 09:44:35 | AAPL | sell | $1.820 | 0 |
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