I waited for it to go red and shorted the bounces. STP was initially above $60. After top was set again ($57.75) my risk was a reclaim of $58.
Basically I just traded my lines and recycled when possible.
Calling it a day now. Maybe it tanks without me, but I'm not that focused anymore I've noticed...
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-11-17 09:25:10 | LCID | sell | $55.900 | short |
2021-11-17 09:31:16 | LCID | buy | $54.900 | 0 |
2021-11-17 09:41:39 | LCID | sell | $54.900 | short |
2021-11-17 09:43:23 | LCID | sell | $55.900 | short |
2021-11-17 10:00:30 | LCID | buy | $54.240 | short |
2021-11-17 10:02:45 | LCID | sell | $55.900 | short |
2021-11-17 10:04:09 | LCID | sell | $56.900 | short |
2021-11-17 10:18:06 | LCID | buy | $56.050 | short |
2021-11-17 10:34:39 | LCID | buy | $54.100 | short |
2021-11-17 10:38:17 | LCID | sell | $54.910 | short |
2021-11-17 10:54:24 | LCID | buy | $54.100 | short |
2021-11-17 10:59:07 | LCID | buy | $54.200 | 0 |
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