Bought the lows and sold the highs. I really wanted to make up for the 2k loss.
Initially started with a 1000 shares then I realized, this had strength so I switched it up to 4k, then 5k to make up the loss. Little did I know this will go parabolic and it went up 10 dollars after.
What I did wrong: The initial order was at a high and I should have sold it as soon as it went below 9ema. I had seen how it went up earlier today after going down considerably and I figured it would happen again (and I was right) but in between the first buy , second buy, the account was -2k or 3k (I forget) . This would have caused a margin call. Need to keep MAE tight.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-09-08 12:55:33 | PIXY | buy | $22.980 | long |
2022-09-08 12:58:28 | PIXY | buy | $22.710 | long |
2022-09-08 13:04:14 | PIXY | buy | $22.050 | long |
2022-09-08 13:04:39 | PIXY | sell | $22.250 | long |
2022-09-08 13:14:25 | PIXY | buy | $21.550 | long |
2022-09-08 13:24:06 | PIXY | buy | $21.150 | long |
2022-09-08 13:27:18 | PIXY | sell | $21.240 | long |
2022-09-08 13:28:01 | PIXY | buy | $21.470 | long |
2022-09-08 13:29:12 | PIXY | sell | $22.380 | 0 |
2022-09-08 13:30:20 | PIXY | buy | $22.400 | long |
2022-09-08 13:30:50 | PIXY | buy | $22.270 | long |
2022-09-08 13:37:47 | PIXY | sell | $22.600 | 0 |
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