Float - 190M, FS% - 4.10%, ATR - .99, AVOL - 2.77M, RVOL - 1.49
This stock was in play yesterday and sold off hard all day. I noticed today it couldn't bounce and was holding below VWAP. I took an aggressive short looking for a break of yesterday close and going red on the day. I added once the stock actually went red. My target was a key area yesterday around .20 cents. This is part of the reason I was building into the position. The stock reached .20 cents however I sold my position to soon. I should have held at least 200 shares to .20 and made an additional $36.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-07-13 10:04:48 | COMM | sell | $35.650 | short |
2017-07-13 10:05:04 | COMM | sell | $35.630 | short |
2017-07-13 10:08:56 | COMM | sell | $35.460 | short |
2017-07-13 10:14:21 | COMM | buy | $35.400 | short |
2017-07-13 10:15:57 | COMM | buy | $35.350 | short |
2017-07-13 10:18:33 | COMM | buy | $35.410 | 0 |
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