another bad trade. bought it a bit too high and the daily chart was not really supporting. it had a strong morning run. so thought of giving it a shot and quickly got off when it's weakend. I would play this differently if i got in at 9.2ish.
Shares traded: 4000
Closed P&L: $110.00
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-08-16 10:47:49 | DANG | buy | $9.300 | long |
2013-08-16 10:51:36 | DANG | sell | $9.360 | long |
2013-08-16 10:53:11 | DANG | sell | $9.340 | 0 |
little bit too high if u do hit that flag it needs to be lower. closer to 9.2 to limit ur risk.
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Nice scalp.