So after my short losses, I flipped my bias and tried longing, but got some bad entries which caused me to have fomo and sell my options for a tiny loss when they would have been HUGE winners. The reason I sold for pretty much break even was because my entry was shit and wanted to get out for break even while I could.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2023-01-06 10:20:15 | JAN13 23 00110.000 CALL | buy | $3.850 | long |
2023-01-06 10:23:09 | JAN13 23 00110.000 CALL | buy | $3.450 | long |
2023-01-06 10:27:00 | JAN13 23 00110.000 CALL | buy | $3.130 | long |
2023-01-06 10:32:10 | JAN13 23 00110.000 CALL | sell | $3.470 | 0 |
2023-01-06 11:03:35 | JAN13 23 00110.000 CALL | buy | $4.590 | long |
2023-01-06 11:25:23 | JAN13 23 00110.000 CALL | sell | $4.450 | 0 |
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