I entered long on a hold over $25 and waited for a quick dip to buy. I entered well, but failed to put a sell limit at my first target 2R or .30 above buy, which should have filled for a small profit. I did trade small size, but didn't take off half where I should have. Stopped out a little below where I wanted, but still less then risk. Bad management of the Trade
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-10-27 09:43:17 | SRPT | buy | $25.360 | long |
2015-10-27 09:43:17 | SRPT | buy | $25.360 | long |
2015-10-27 09:43:21 | SRPT | buy | $25.350 | long |
2015-10-27 09:59:59 | SRPT | sell | $25.080 | long |
2015-10-27 09:59:59 | SRPT | sell | $25.070 | long |
2015-10-27 10:00:00 | SRPT | sell | $25.080 | 0 |
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