My position sizing was too large was my biggest regret this day trading day. Got caught up with emotions (huge mistake) and got in way too big for my risk management.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-11-27 11:13:28 | CLVS | buy | $31.630 | long |
2015-11-27 11:26:33 | CLVS | sell | $31.870 | long |
2015-11-27 11:37:15 | CLVS | buy | $31.670 | long |
2015-11-27 11:38:19 | CLVS | buy | $31.600 | long |
2015-11-27 11:38:20 | CLVS | buy | $31.600 | long |
2015-11-27 11:39:45 | CLVS | buy | $31.600 | long |
2015-11-27 11:39:46 | CLVS | buy | $31.600 | long |
2015-11-27 11:39:49 | CLVS | buy | $31.600 | long |
2015-11-27 12:06:53 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:54 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:55 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:56 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:56 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:57 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:58 | CLVS | sell | $31.300 | long |
2015-11-27 12:06:59 | CLVS | sell | $31.280 | 0 |
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