Grade=C
P/L= +1.4R
Entry: intraday pullback. Positive reaction to better than expected earnings. Things still looked strong when it was pulling back and volume told the right story.
Exit: Exited at the next measured move for the first chunk, then got the second in a similar way and stopped out on the 3rd.
Note: There was a little fatfinger mistake that left me with a slightly larger position than I wanted, but I took the excess (not by much) off at the first target.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-03-14 10:39:14 | DDD | buy | $14.220 | long |
2016-03-14 10:40:25 | DDD | buy | $14.230 | long |
2016-03-14 10:46:52 | DDD | sell | $14.480 | long |
2016-03-14 11:06:27 | DDD | sell | $14.700 | long |
2016-03-14 11:14:51 | DDD | sell | $14.520 | 0 |
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