This is me messing up and order to close out my position and instead of taking profits I didn't check the number of shares and ended up being short instead of long. pissed a quikly closed it out.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2013-12-30 13:53:11 | BORN | sell | $3.100 | short |
2013-12-30 13:53:11 | BORN | sell | $3.100 | short |
2013-12-30 13:53:11 | BORN | sell | $3.100 | short |
2013-12-30 13:53:11 | BORN | sell | $3.100 | short |
2013-12-30 13:53:11 | BORN | sell | $3.100 | short |
2013-12-30 13:53:27 | BORN | sell | $3.100 | short |
2013-12-30 13:53:58 | BORN | buy | $3.103 | short |
2013-12-30 13:54:13 | BORN | buy | $3.103 | short |
2013-12-30 13:54:16 | BORN | buy | $3.120 | 0 |
You need to log into your Tradervue account to leave a comment. If you don't have one,
it takes
just a few seconds to sign up, and it's free!