Trade 1: Attempted bounce off pre-market support. Failed so took a 19 cent loss. No biggie.
Trade 2: Excellent longside short breakdown. Perfect entry and cover for a nice 30 cent profit.
Trade 3: Terrible entry anticipating the $41 breakdown. Should have hit it at $41.20 at the lowest but got excited and let my trigger happy finger go crazy. Covered up for a $18 loss.
Net loss on the trade $3.05. Only one that got paid was my broker. Should have just taken the short and left it at that, lol.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-01-17 10:26:04 | CBS | buy | $41.850 | long |
2013-01-17 10:43:03 | CBS | sell | $41.660 | 0 |
2013-01-17 13:21:20 | CBS | sell | $41.420 | short |
2013-01-17 13:51:45 | CBS | buy | $41.128 | 0 |
2013-01-17 14:40:17 | CBS | sell | $41.000 | short |
2013-01-17 15:46:58 | CBS | buy | $41.180 | 0 |
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