Breakout from bottoming 4 day flag on daily. Nice morning momentum and tight 5min MA20 consolidation. I got a terrible fill both on buy and sell stop, so I lost two times my initial risk. In a stronger market this one should go to 80 from my buy point, but base should've been a little longer.
Shares traded: 300
Closed P&L: $-73.49
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-04-19 11:23:03 | PCYC | buy | $77.680 | long |
2013-04-19 12:12:29 | PCYC | sell | $77.190 | 0 |
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