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Sep 12, 2017 12:21


Opening Range Breakout

Float - 1.18B, FS% - 1.03%, ATR - 2.05, AVOL - 4.88M, RVOL - 1.53

I had a great entry on the breakout to new highs and buying a retest. I was hoping to get another couple hundred shares closer to my stop so I didn't have optimal sizing which threw off my management of the trade. My biggest mistake in the trade was I should have added over .28 cents the top of the consolidation to get my sizing right. My sales are pretty good. 160.65 and 161 are the two levels I was thought would come into play. My last sale was basically the top. Overall good trade. Good trade execution. Needed more size.

Execution detail:

Date/time Symbol Side Price Position
2017-09-12 12:21:28 HD buy $160.210 long
2017-09-12 13:05:20 HD sell $160.580 long
2017-09-12 13:30:09 HD sell $160.660 long
2017-09-12 13:38:45 HD sell $160.870 0

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