I think this was a good 2 trades.
Thought it would fade @ 56, or atleast need to recurl.
First was good. Good risk to see if it was right.
Second trade I took on too many shares, It should have only been 100, not 200. Because I added 200 I needed a tighter stop. My stop should've been 56.45 or 56.55.
This is a common mistake I make. I take on too many shares, and to preserve my risk parameters, I need a tighter stop.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2016-12-05 09:54:41 | AMBA | sell | $55.860 | short |
2016-12-05 09:55:29 | AMBA | buy | $56.050 | 0 |
2016-12-05 10:07:06 | AMBA | sell | $56.020 | short |
2016-12-05 10:15:27 | AMBA | buy | $56.378 | 0 |
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