Just used really small size on this one (200 shares) since its a higher priced stock that I usually don't trade. Thought the news was bad enough that there would at least be a morning sell off so got short right out of the gate when I saw it couldn't get through the premarket highs. Took my profits and then waited for the VWAP test to hit it again. Risk was a little more defined the 2nd time so I doubled up with 400 shares and got a really nice gain when my targets were reached.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-07-08 09:30:38 | JUNO | sell | $31.500 | short |
2016-07-08 09:32:56 | JUNO | buy | $30.580 | short |
2016-07-08 09:34:51 | JUNO | buy | $29.860 | 0 |
2016-07-08 09:56:49 | JUNO | sell | $29.860 | short |
2016-07-08 09:56:49 | JUNO | sell | $29.860 | short |
2016-07-08 10:06:05 | JUNO | sell | $30.180 | short |
2016-07-08 10:15:45 | JUNO | buy | $29.830 | short |
2016-07-08 10:15:46 | JUNO | buy | $29.830 | short |
2016-07-08 10:20:40 | JUNO | buy | $29.530 | short |
2016-07-08 10:24:14 | JUNO | buy | $29.040 | 0 |
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