Side: Long
Daily Pattern: Gap Up
When I got in: 16.83
Stop Loss: 16.68
Why I got in: Thought It was flagging. Spiked up into resistance on daily. Should have sold all of it there and stopped playing this stock.
When I got out: 16.98
Why: Spiked into resistance on daily.
Other Notes:
How I think I did: C
10/26/2016: Should not have gone up in size on the second entry.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-09-28 12:14:00 | TTS | buy | $16.830 | long |
2016-09-28 12:22:45 | TTS | sell | $16.980 | long |
2016-09-28 12:35:12 | TTS | sell | $16.820 | 0 |
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