first trade was for the ORBO, which worked for half the position, second trade not sure what i was thinking, obviously a mistake, net 300 shares -$30
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-12-04 09:51:22 | OMED | buy | $31.250 | long |
2013-12-04 09:52:42 | OMED | sell | $31.740 | long |
2013-12-04 09:55:29 | OMED | sell | $31.840 | long |
2013-12-04 10:04:32 | OMED | sell | $31.250 | 0 |
2013-12-04 10:59:22 | OMED | buy | $31.570 | long |
2013-12-04 10:59:39 | OMED | buy | $31.550 | long |
2013-12-04 11:22:21 | OMED | sell | $30.980 | long |
2013-12-04 11:22:21 | OMED | sell | $30.980 | 0 |
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