not sure why I stopped out of this position. it was working pretty well.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-11-11 13:59:54 | FTK | sell | $9.050 | short |
2015-11-11 14:00:08 | FTK | sell | $9.050 | short |
2015-11-11 14:00:08 | FTK | sell | $9.050 | short |
2015-11-11 14:00:13 | FTK | sell | $9.050 | short |
2015-11-11 14:00:14 | FTK | sell | $9.060 | short |
2015-11-11 14:00:15 | FTK | sell | $9.060 | short |
2015-11-11 14:00:16 | FTK | sell | $9.060 | short |
2015-11-11 14:30:39 | FTK | buy | $8.950 | short |
2015-11-11 14:30:42 | FTK | buy | $8.950 | short |
2015-11-11 14:30:43 | FTK | buy | $8.950 | short |
2015-11-11 14:30:45 | FTK | buy | $8.950 | short |
2015-11-11 14:30:45 | FTK | buy | $8.950 | short |
2015-11-11 14:30:47 | FTK | buy | $8.950 | short |
2015-11-11 14:31:00 | FTK | buy | $8.950 | 0 |
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