trade thesis was simple. expected a continuation down under 3850 but when it poped n held above 3850 with a failed second entry short. i took a small loss and flipped long risking 3843.75 , since i had taken a small loss once it was covered plus more on the long trade, but i minimized it badly... took my last order at 3865 but my goal was to see a new high above 3880 but not sure why i didnt hold a runner. best add would have been once 3865 break 1 tick above, add size and risk 3859.75 and hold tight to front run some contracts at 3875ish for a nice 10pt move, n let wtv u have left work for the push to 4000 which didnt hit so ur stop becomes 3889.75 to not have LFT.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2023-01-04 10:34:09 | MESH3 | buy | $3853.00 | long |
2023-01-04 10:35:42 | MESH3 | sell | $3848.34 | 0 |
2023-01-04 10:36:28 | MESH3 | buy | $3852.50 | long |
2023-01-04 10:43:55 | MESH3 | buy | $3852.75 | long |
2023-01-04 10:44:10 | MESH3 | sell | $3855.25 | long |
2023-01-04 10:44:26 | MESH3 | sell | $3857.00 | long |
2023-01-04 10:44:26 | MESH3 | sell | $3857.00 | long |
2023-01-04 10:45:28 | MESH3 | sell | $3861.50 | long |
2023-01-04 10:45:45 | MESH3 | sell | $3862.00 | long |
2023-01-04 10:46:42 | MESH3 | sell | $3864.75 | long |
2023-01-04 10:47:10 | MESH3 | sell | $3863.00 | long |
2023-01-04 10:47:15 | MESH3 | sell | $3862.25 | 0 |
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