My only win today. I started buying in the consolidation and planned on building up a big position for when it spiked up, hopefully back to highs, to make back losses from earlier in the morning. It actually was working perfectly as I was managing my risk well and only added when it was working for me, but then just as it spiked through $57 and I was about to start taking profits when I was up $850, I got disconnected and missed the sell. At that point I was so annoyed I decided to just hold it all day until it either hit my stop and cost me $800-1k or flipped my day by making me $2500. I repeatedly missed the sells, first because I got disconnected, then because I got a phone call, and finally because I was at Subway...haha. Ultimately I ended up just selling it pretty much flat at the end of the day.
1200 shares
+$45.00 (0.07%)
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-09-10 11:54:22 | SHLD | buy | $56.430 | long |
2013-09-10 12:41:55 | SHLD | buy | $56.480 | long |
2013-09-10 12:52:04 | SHLD | buy | $56.750 | long |
2013-09-10 15:59:58 | SHLD | sell | $56.640 | 0 |
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