Float - 948M, FS% - 2.13%, ATR - 2.05, AVOL - 4.46M, RVOL - 3.20
IBM had poor earnings report and gapping lower. My bias was short. I took a great 1st short at 150.01. I wasn't sure how low it could go so I only scalped .40 cents. Then I took another short lower and scalped about the same. I had too many entries and exits. The ATR on IBM was 2.05. Ideally I should have held my first position for most of that move trailing it with the 9ema.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-07-19 09:31:17 | IBM | sell | $150.012 | short |
2017-07-19 09:32:06 | IBM | buy | $149.610 | 0 |
2017-07-19 09:32:29 | IBM | sell | $149.300 | short |
2017-07-19 09:32:44 | IBM | buy | $149.530 | 0 |
2017-07-19 09:34:35 | IBM | sell | $148.070 | short |
2017-07-19 09:35:11 | IBM | buy | $147.680 | 0 |
2017-07-19 09:37:09 | IBM | buy | $148.340 | long |
2017-07-19 09:37:55 | IBM | sell | $148.400 | 0 |
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