Side: Short
Daily Pattern: Idk
When I got in: 102.70
Why: Thought it was bear flagging.
Stop Loss: 102.87?
Why:
When I got out: 102.87
Why: Stop loss was here, and it was a clear break of the range it was forming.
Other Notes: Totally should have been in the flag in the first few hours. Not sure if I should have shorted this based on daily. It worked eventually.
~~~~~~~~~~~~~~~~~~~~
Review 11/2/2016
Don't think I would have taken this trade with the experience I've gained now.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-09-30 12:04:28 | NXPI | sell | $102.700 | short |
2016-09-30 12:05:15 | NXPI | buy | $102.870 | 0 |
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