First trade: Bad entry with FOMO as I saw a very strong support at the premarket lo key level, i saw the price going back up, and got desperate to get in, so I did. Got out of this trade on a fake breakdown because I freaked out. Immediately I got in on a Put Option.
Second trade: As soon as I got out of the PUT that I said before, I got in on my second Call Option, on a breakout of the open price.
Third trade: Bad entry at the key level of $147.5 breakout, I got in too early as I got too much confident.
I never should've closed the first trade, this is the first reason for the today big losses. I'm not getting a good night sleep, maybe that's affecting my trading and I'm not seeing it. i need to work on that.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-08-04 09:32:57 | AAPL | buy | $3.080 | long |
2021-08-04 09:35:16 | AAPL | sell | $2.870 | 0 |
2021-08-04 09:41:25 | AAPL | buy | $3.320 | long |
2021-08-04 09:45:18 | AAPL | buy | $3.480 | long |
2021-08-04 10:13:20 | AAPL | sell | $2.960 | 0 |
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