DAY TRADE: STOCK THAT WAS UP HUGE, GAPPED AND THEN RAN THOUGHT WAS GONNA PULLBACK, WENT SHORT,
STOP LOSS: HIGH OFF THE DOUBLE TOP, MOVED DOWN EVENTUALLY AFTER 9EMA DID NOT HOLD
1ST TARGET: LOD
SETUP: SHORT
REWARD TO RISK:5:1
CONCERNS OF THE TRADE: I FEEL I MISSED BEST AVAILABLE SHORT, POSSIBLY A BETTER ENTRY
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-12-30 14:08:22 | CROX | sell | $15.910 | short |
2013-12-30 15:29:30 | CROX | buy | $16.180 | 0 |
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