My big loser of the week. Stupid turd of a stock faked me out the first time. It did just make a 50% run in 20 minutes after all...
The second time I wanted revenge so I loaded up on shares. But little did I know that I should have put my stop below the previous low. When the third remount opportunity comes I hesitate before it finally goes.
*on a 15-min chart it looks slightly cleaner and would have helped measure risk better.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-07-20 10:20:06 | SPU | buy | $8.570 | long |
2016-07-20 10:21:35 | SPU | sell | $8.310 | 0 |
2016-07-20 10:47:53 | SPU | buy | $8.650 | long |
2016-07-20 10:54:23 | SPU | sell | $8.160 | 0 |
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