Setup_____________I saw an opportunity on a pullback in FCX to the 12.35 area
Risk______________0.25 on 200 shares. Stop @ 12.10. Really as I look back the chart is not clean. I reduced my position size to accommodate for the higher risk.
Exit______________Target is high of day 12.60 area. I didn't like the chart so I took myself out.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-07-25 14:23:24 | FCX | buy | $12.346 | long |
2016-07-25 15:57:42 | FCX | sell | $12.370 | 0 |
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