the new update to ToS keeps messing up my order entries... This one was supposed to be a 300 share entry... not 3000... I sold off alot of shares quick because the massive size made me nervous, so because I had gains I took them.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-09-29 09:58:16 | HRTX | buy | $23.120 | long |
2015-09-29 09:58:49 | HRTX | sell | $23.220 | long |
2015-09-29 09:59:18 | HRTX | sell | $23.380 | long |
2015-09-29 09:59:54 | HRTX | sell | $23.660 | long |
2015-09-29 10:04:50 | HRTX | sell | $23.870 | long |
2015-09-29 10:05:14 | HRTX | sell | $24.010 | 0 |
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