Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-03-23 10:03:11 | FIT | buy | $15.370 | long |
2016-03-23 10:05:08 | FIT | buy | $15.350 | long |
2016-03-23 10:05:23 | FIT | buy | $15.330 | long |
2016-03-23 10:06:25 | FIT | buy | $15.270 | long |
2016-03-23 10:07:26 | FIT | buy | $15.180 | long |
2016-03-23 10:08:19 | FIT | buy | $15.070 | long |
2016-03-23 11:02:27 | FIT | sell | $14.870 | long |
2016-03-23 11:06:12 | FIT | buy | $14.900 | long |
2016-03-23 11:10:59 | FIT | sell | $14.820 | long |
2016-03-23 11:18:36 | FIT | sell | $14.870 | long |
2016-03-23 11:19:32 | FIT | buy | $14.830 | long |
2016-03-23 11:20:43 | FIT | buy | $14.700 | long |
2016-03-23 11:36:14 | FIT | sell | $14.720 | long |
2016-03-23 11:38:48 | FIT | sell | $14.779 | long |
2016-03-23 11:44:18 | FIT | buy | $14.750 | long |
2016-03-23 11:44:18 | FIT | buy | $14.755 | long |
2016-03-23 12:43:04 | FIT | sell | $14.820 | long |
2016-03-23 12:43:15 | FIT | sell | $14.830 | long |
2016-03-23 12:45:37 | FIT | buy | $14.800 | long |
2016-03-23 12:51:34 | FIT | buy | $14.760 | long |
2016-03-23 13:11:19 | FIT | sell | $14.780 | long |
2016-03-23 13:19:19 | FIT | sell | $14.810 | long |
2016-03-23 13:32:59 | FIT | buy | $14.790 | long |
2016-03-23 13:41:15 | FIT | buy | $14.775 | long |
2016-03-23 13:54:41 | FIT | sell | $14.870 | long |
2016-03-23 14:13:10 | FIT | buy | $14.790 | long |
2016-03-23 14:19:23 | FIT | buy | $14.765 | long |
2016-03-23 14:27:43 | FIT | sell | $14.680 | 0 |
2016-03-23 14:45:55 | FIT | buy | $14.750 | long |
2016-03-23 14:48:59 | FIT | buy | $14.730 | long |
2016-03-23 14:53:36 | FIT | sell | $14.750 | long |
2016-03-23 14:56:42 | FIT | sell | $14.690 | long |
2016-03-23 15:00:51 | FIT | sell | $14.700 | 0 |
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