This was a scalp attempt to enter into a bounce off of premarket levels that I cut because the SPY and IWM got really bloody. I need to work on my analysis of SPY going into a trading day and make sure SPY is working with me and not against me in my positions. I will work with my mentors on how they approach the broader market problem when there is a great set up in a stock. This example is just a really good example of tight risk management.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-10-01 09:33:59 | 8 OCT 21 9 CALL | buy | $0.4300 | long |
2021-10-01 09:36:03 | 8 OCT 21 9 CALL | sell | $0.3500 | 0 |
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