The 2nd buy was an accident (had "buy" selected in the tool rather than "sell"). Also was just a bit late on my 1st entry. Otherwise, I think I got this one.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-11-27 13:27:18 | HPQ | buy | $27.150 | long |
2013-11-27 13:27:18 | HPQ | buy | $27.150 | long |
2013-11-27 13:27:26 | HPQ | buy | $27.150 | long |
2013-11-27 13:27:26 | HPQ | buy | $27.150 | long |
2013-11-27 13:27:26 | HPQ | buy | $27.150 | long |
2013-11-27 14:07:17 | HPQ | sell | $27.400 | long |
2013-11-27 14:07:17 | HPQ | sell | $27.400 | long |
2013-11-27 14:19:25 | HPQ | buy | $27.490 | long |
2013-11-27 14:19:26 | HPQ | buy | $27.490 | long |
2013-11-27 14:21:18 | HPQ | sell | $27.500 | long |
2013-11-27 14:21:18 | HPQ | sell | $27.500 | long |
2013-11-27 14:21:18 | HPQ | sell | $27.500 | long |
2013-11-27 14:47:51 | HPQ | sell | $27.590 | long |
2013-11-27 14:47:51 | HPQ | sell | $27.590 | 0 |
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Great entry and exits