For my starter entry, I kinda got faked out as my risk was $22.75. I should've gave it a little more lee-way, that's my lesson learnt.
After it came down and peaked at $22.75, I went ahead and size back in, should've covered into that washout, but I was being too patient, hoping for a g/r move that never came. 2 lesson in one trade. That's a win.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-03-21 13:18:28 | SFM | sell | $22.720 | short |
2017-03-21 13:19:34 | SFM | buy | $22.805 | 0 |
2017-03-21 13:44:29 | SFM | sell | $22.710 | short |
2017-03-21 13:47:05 | SFM | sell | $22.700 | short |
2017-03-21 13:48:41 | SFM | sell | $22.690 | short |
2017-03-21 13:51:21 | SFM | sell | $22.650 | short |
2017-03-21 14:29:44 | SFM | buy | $22.540 | short |
2017-03-21 14:33:38 | SFM | buy | $22.670 | short |
2017-03-21 14:33:46 | SFM | buy | $22.670 | 0 |
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