Not a good set-up for this trade. It was bit over extended and I was trying to capture some of the run up. It quickly fell and I couldn't get out fast enough. Then I made a simulator error and instead of closing my position, I added more shares before I finally figured it out and closed out the trade. I'll take this as a lesson to pay closer attention to my order entries.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-12-27 10:09:59 | WPCS | buy | $2.710 | long |
2013-12-27 10:09:59 | WPCS | buy | $2.710 | long |
2013-12-27 10:09:59 | WPCS | buy | $2.710 | long |
2013-12-27 10:09:59 | WPCS | buy | $2.710 | long |
2013-12-27 10:10:24 | WPCS | sell | $2.680 | long |
2013-12-27 10:10:24 | WPCS | sell | $2.660 | 0 |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:26 | WPCS | buy | $2.730 | long |
2013-12-27 10:16:27 | WPCS | buy | $2.720 | long |
2013-12-27 10:16:27 | WPCS | buy | $2.720 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.670 | long |
2013-12-27 10:17:23 | WPCS | sell | $2.680 | 0 |
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