Waited for weakness and waited for a strong bounce. Very proud of me that I skipped my first line so my emotions were in check once it popped into $4.20. Had another order at $4.40. Risk was a break of $4.50. I'm not that happy tho bc I didn't manage it to exploit the full potential of that channel. Was very picky regarding my cover orders. Didn't manage to recycle enough. All in all, the thing that frustrates me the most is that my 3rd Trade didn't cover the loss of the 1st and 2nd.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2021-12-08 10:02:45 | EFOI | sell | $4.170 | short |
2021-12-08 10:06:36 | EFOI | buy | $3.975 | 0 |
2021-12-08 10:13:35 | EFOI | sell | $4.170 | short |
2021-12-08 10:28:37 | EFOI | buy | $4.000 | 0 |
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