Good trading didn't over do these trades like I did for the rest of my trades throughout the day. I entered on confirmation after a pullback.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-03-08 14:39:38 | CYRN | buy | $9.750 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.820 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.810 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.810 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.820 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.800 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.800 | long |
2022-03-08 14:39:48 | CYRN | sell | $9.800 | 0 |
2022-03-08 14:40:19 | CYRN | buy | $10.190 | long |
2022-03-08 14:40:44 | CYRN | sell | $10.200 | 0 |
2022-03-08 15:27:15 | CYRN | buy | $11.895 | long |
2022-03-08 15:27:53 | CYRN | sell | $12.092 | 0 |
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