Float - 931M, FS% - 2.18%, ATR - 2.15, AVOL - 3.98M, RVOL - 7.66
Probably my best managed trade to my plan. I got long on the break over .50 cents. Sold 1/3 into the first bounce. I rebought it back on the retest. Sold again on the bounce. My target was 161.10 key daily level. The rest of my scale out are good. I felt like my final stop was a bit too far away. I need my stop at .73 not .60 cents below the wick I added on. Overall good trade.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-10-18 13:01:28 | IBM | buy | $160.500 | long |
2017-10-18 13:04:37 | IBM | sell | $160.720 | long |
2017-10-18 13:10:04 | IBM | buy | $160.508 | long |
2017-10-18 13:12:53 | IBM | sell | $160.660 | long |
2017-10-18 13:15:05 | IBM | sell | $160.930 | long |
2017-10-18 13:26:22 | IBM | buy | $160.800 | long |
2017-10-18 13:27:24 | IBM | sell | $160.912 | long |
2017-10-18 13:28:53 | IBM | sell | $160.600 | 0 |
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