Float - 435M, FS% - 1.84%, ATR - 2.77, AVOL - 3.35M, RVOL - 2.27
Pretty good stock to trade as COST has been in play multiple days. Good job trading in the direction of the higher time frame context. Poor trade management. I had a great entry in the mid .70s with a stop at .83 risking. I moved my stop and got stopped out trying to protect P&L - (big mistake) I then re entered lower and added once we broke .60 cents. I sold at .38 I wanted to sell around .30 and covered around .54 the last bit. The problem is it went to my level eventually. Had I kept my original entry and not moved my stop I would have had over 5 - 1 r/R. I cant keep changing my management of playbook trades mid trade. I need to trade 100% of the time according to my playbook!
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-07-07 14:32:11 | COST | sell | $154.740 | short |
2017-07-07 14:48:39 | COST | sell | $154.730 | short |
2017-07-07 14:55:50 | COST | buy | $154.760 | short |
2017-07-07 14:55:50 | COST | buy | $154.770 | short |
2017-07-07 14:55:50 | COST | buy | $154.770 | 0 |
2017-07-07 14:58:08 | COST | sell | $154.690 | short |
2017-07-07 15:05:33 | COST | sell | $154.570 | short |
2017-07-07 15:22:55 | COST | buy | $154.380 | short |
2017-07-07 15:27:40 | COST | buy | $154.540 | 0 |
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