First entry: break of flag. Didn't take a piece off (bad management!) into spike.
Second entry: bought after pullback started to rebound (candle had more volume and was green at time of purchase).
Third entry, bought on break of flag + heavy volume. Sold into spike, sold rest flat as it spiked back down.
Didn't try any of the bear flags cause I had lost enough to this stock for one day.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-01-13 10:00:42 | XONE | buy | $69.460 | long |
2014-01-13 10:15:18 | XONE | sell | $69.250 | 0 |
2014-01-13 10:32:18 | XONE | buy | $69.240 | long |
2014-01-13 10:40:17 | XONE | sell | $68.950 | 0 |
2014-01-13 11:54:04 | XONE | buy | $69.580 | long |
2014-01-13 12:00:00 | XONE | sell | $69.970 | long |
2014-01-13 12:17:15 | XONE | sell | $69.580 | 0 |
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1st trade, entry was high then you just became too emotional and overtraded long in a down market.