I screwed up on the first one and I seem to be a little early everytime when I re-add, but the middle trade was solid
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-11-03 09:56:35 | SALE | sell | $10.660 | short |
2015-11-03 09:59:26 | SALE | buy | $10.910 | 0 |
2015-11-03 09:59:54 | SALE | sell | $10.820 | short |
2015-11-03 10:01:29 | SALE | sell | $10.650 | short |
2015-11-03 10:07:12 | SALE | buy | $10.390 | short |
2015-11-03 10:12:09 | SALE | buy | $10.180 | short |
2015-11-03 10:43:37 | SALE | buy | $9.780 | short |
2015-11-03 11:47:12 | SALE | buy | $10.120 | 0 |
2015-11-03 12:09:48 | SALE | sell | $10.170 | short |
2015-11-03 12:22:36 | SALE | buy | $10.380 | 0 |
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