Not sure why I sold on the first entry. 2nd entry was because of flag. Got out at previous resistance point on daily.
After it peaked I started looking to short it. 1st short was a bad entry. Range was still getting tighter. 2nd short was at top of the range. Don't know if I should have taken the first 50 off @ 30.55...
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11.11.16
1st entry was a good pullback play. Shouldn't have tried to play both sides.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-10-07 10:12:53 | CLVS | buy | $28.970 | long |
2016-10-07 10:12:56 | CLVS | sell | $28.830 | 0 |
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