Had to pull the trigger on these to maintain consistency even though I felt they wouldn't work by how I was reading the price action. Both were on consolidated inside pair entries for a break long.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-08-25 09:49:02 | MNQU1 | buy | $15386.25 | long |
2021-08-25 09:49:02 | MNQU1 | buy | $15386.25 | long |
2021-08-25 09:49:02 | MNQU1 | buy | $15386.25 | long |
2021-08-25 09:49:02 | MNQU1 | buy | $15386.25 | long |
2021-08-25 09:50:57 | MNQU1 | sell | $15372.00 | long |
2021-08-25 09:50:57 | MNQU1 | sell | $15372.00 | long |
2021-08-25 09:50:57 | MNQU1 | sell | $15372.00 | long |
2021-08-25 09:50:57 | MNQU1 | sell | $15372.00 | 0 |
2021-08-25 10:05:17 | MNQU1 | buy | $15376.00 | long |
2021-08-25 10:05:17 | MNQU1 | buy | $15376.00 | long |
2021-08-25 10:05:17 | MNQU1 | buy | $15376.00 | long |
2021-08-25 10:05:17 | MNQU1 | buy | $15376.00 | long |
2021-08-25 10:07:00 | MNQU1 | sell | $15358.25 | long |
2021-08-25 10:07:00 | MNQU1 | sell | $15358.25 | long |
2021-08-25 10:07:00 | MNQU1 | sell | $15358.25 | long |
2021-08-25 10:07:00 | MNQU1 | sell | $15358.25 | 0 |
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