TRADE 132
I went long at $127.42 at 09:45AM, risking to $126.79. This was an error trade because there was no real setup behind. The pullback was too deep and it didn't fit my criteria of a pullback trade. I sold at 09:47AM. This was a poor trade decision and make no sense.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-04-14 09:45:29 | JPM | buy | $127.420 | long |
2022-04-14 09:45:29 | JPM | buy | $127.420 | long |
2022-04-14 09:45:29 | JPM | buy | $127.420 | long |
2022-04-14 09:45:29 | JPM | buy | $127.420 | long |
2022-04-14 09:47:25 | JPM | sell | $127.295 | 0 |
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