9:31- Long 100 shares at $291.95, stop at $289.96. Plan was to go long, targeting both $295 and $300 resistance levels. Placed a passive sell order at $294.49, maybe should have placed it even closer to $295 initially.
9:39- Position closed at $294.49 as planned.
10:14- Thought it was an opportunity to play the range.
10:22- Wanted to go long at $292.80 pivot. Wanted to observe instead.
11:12- Tested range bound play. Went long 10 shares at $298.46, giving it 2 points risk. Placed order to sell at $299.93.
11:24- Position was closed.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2018-04-05 09:31:54 | TSLA | buy | $291.950 | long |
2018-04-05 09:39:07 | TSLA | sell | $294.490 | 0 |
2018-04-05 11:12:02 | TSLA | buy | $298.460 | long |
2018-04-05 11:24:20 | TSLA | sell | $299.930 | 0 |
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