Today was a retest gap, so I am not sure why I decided to go long when I should hve been shorting up at this level.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-12-28 10:02:03 | DEC30 22 00064.000 CALL | buy | $0.7700 | long |
2022-12-28 10:28:18 | DEC30 22 00064.000 CALL | sell | $0.5700 | long |
2022-12-28 10:30:51 | DEC30 22 00064.000 CALL | sell | $0.5800 | long |
2022-12-28 10:30:51 | DEC30 22 00064.000 CALL | sell | $0.5800 | 0 |
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