Float - 214M, FS% - 3.56%, ATR - 2.17, AVOL - 1.84M, RVOL - 2.12
Decent RVOL for Day 2. I got long when EL was consolidating over the Day 1 Highs. SPY was also consolidating at highs and broke higher. My entry was very good. I didnt chance it and waited for the retest of the wicks. My exit was bad. I had an order at 107. The stock got to 106.98. I moved my stop to .93 to see if it would thrust through 107. The stock dropped and my filled exit prices very poor. I cant give up .13 on the majority of my shares when the stock was .02 cents from the level. The way the my order got filled made it even worse as 300 shares got filled at the lowest price. Overall good trade. Need to be better on my exit management.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-08-21 12:00:46 | EL | buy | $106.484 | long |
2017-08-21 12:00:46 | EL | buy | $106.484 | long |
2017-08-21 12:26:42 | EL | sell | $106.900 | long |
2017-08-21 12:26:42 | EL | sell | $106.871 | long |
2017-08-21 12:26:42 | EL | sell | $106.850 | 0 |
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