Premarket plan was to buy opening flush to $147s=long-term daily support pivot, for a sharp reversal and probable green close > $155.5s.
Played almost per plan, and I traded it nicely.
Opened weak, seller in control from open, $NVDA moved towards target. However, found a bid $149s, so once it popped higher and reclaimed VWAP,
Got long Tier 0 at the pullback to VWAP, risking LOD=$148.5, expecting to hold above VWAP, buyer step up and push it higher. Main target was yesterday's close=$155.5s.
Quick move towards target, and I was selling $153-155. Started showing weakness towards close, and once it lost VWAP got flat last trailer.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-06-30 11:05:03 | NVDA | buy | $150.680 | long |
2022-06-30 11:22:30 | NVDA | sell | $153.680 | long |
2022-06-30 11:22:36 | NVDA | sell | $153.750 | long |
2022-06-30 12:28:35 | NVDA | sell | $154.760 | long |
2022-06-30 12:31:12 | NVDA | sell | $155.320 | long |
2022-06-30 13:38:46 | NVDA | sell | $153.085 | long |
2022-06-30 13:41:36 | NVDA | sell | $153.660 | long |
2022-06-30 15:05:13 | NVDA | sell | $151.960 | 0 |
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