Had this on watchlist for a short.
Took the first position 5000 with a 0.20 risk, closed almost half after the wash.
Next I added 1000 with a 0.10 risk. I did this because I was already in profit, It was at the point of a trend break and VWAP break. Next it squeezed me out and I covered the second position at risk. I had the feeling it was a move to squeeze some late shorts out but I wanted to respect my risk. Covered the last part after it broke out of 16.80 and it was gearing.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-12-28 10:27:01 | ROVI | sell | $16.950 | short |
2015-12-28 10:33:43 | ROVI | buy | $16.650 | short |
2015-12-28 10:44:07 | ROVI | sell | $16.700 | short |
2015-12-28 10:53:22 | ROVI | buy | $16.820 | short |
2015-12-28 11:23:33 | ROVI | buy | $16.900 | 0 |
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hey a stock like this.. if its really srong in the morning and doenst crack it often will do a late day breakout and crack the next ay