Same thesis as yesterday. Very weak daily chart, looking ready to clear S1=door to daily gap-fill=yesterday's close=$113 and close the daily gap to S2=$109.3.
Premarket plan was to get "short" only if it managed to clear and hold below S1=$113, expecting the daily gap-fill.
Played per plan. Opened below S1, tried to remount,
got short filler size at the pop to S1=$113, risking tight stop $113.6s, added Tier 0 once it got rejected, and rolled over back below the support level & VWAP, tightening stop for whole size to HOD=$113.5, expecting the move lower.
Covered small in-front of yesterday's LOD=$111.3s, more at the flush to $110, got flat at target.
(+) Good Thesis + excellent executions = nice trade!!
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-09-14 09:36:48 | BYND | sell | $112.910 | short |
2021-09-14 09:46:51 | BYND | sell | $112.900 | short |
2021-09-14 11:49:21 | BYND | buy | $111.700 | short |
2021-09-14 11:58:54 | BYND | buy | $111.530 | short |
2021-09-14 12:02:28 | BYND | buy | $111.330 | short |
2021-09-14 13:06:02 | BYND | buy | $110.110 | short |
2021-09-14 13:06:02 | BYND | buy | $110.110 | short |
2021-09-14 14:20:10 | BYND | buy | $109.600 | short |
2021-09-14 14:45:49 | BYND | buy | $109.340 | 0 |
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