Friday gap down fader on earnings. Was waiting for a bounce and fade again but got in to early. Should have shorted again at 13.80 when it seemed to reach its top. When i did decided to short i should have used a lot more size because of the strong setup with sandwiched MA's and VWAP crack + high risk/reward ratio.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-10-26 11:18:49 | P | sell | $13.520 | short |
2015-10-26 11:18:49 | P | sell | $13.520 | short |
2015-10-26 11:23:43 | P | buy | $13.770 | 0 |
2015-10-26 12:11:04 | P | sell | $13.596 | short |
2015-10-26 12:11:07 | P | sell | $13.596 | short |
2015-10-26 12:56:09 | P | buy | $13.350 | short |
2015-10-26 12:56:10 | P | buy | $13.350 | short |
2015-10-26 12:56:10 | P | buy | $13.350 | short |
2015-10-26 14:16:12 | P | buy | $13.100 | 0 |
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