Play: Pullback to 9ema - 400 shares
Stop loss: 36.70
Could have scaled out a little less but at the time, I did not think it would go to 40. I just kept raising my stop loss for the last shares. Not sure if I should have kept some over night? What is a good setup/chart foretelling if we can long the last few shares overnight?
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-01-14 09:56:19 | CSIQ | buy | $36.910 | long |
2014-01-14 09:56:20 | CSIQ | buy | $36.900 | long |
2014-01-14 09:56:21 | CSIQ | buy | $36.890 | long |
2014-01-14 09:56:21 | CSIQ | buy | $36.890 | long |
2014-01-14 09:56:21 | CSIQ | buy | $36.890 | long |
2014-01-14 09:56:21 | CSIQ | buy | $36.890 | long |
2014-01-14 09:56:21 | CSIQ | buy | $36.890 | long |
2014-01-14 10:02:06 | CSIQ | sell | $37.090 | long |
2014-01-14 10:02:08 | CSIQ | sell | $37.090 | long |
2014-01-14 10:03:38 | CSIQ | sell | $37.240 | long |
2014-01-14 10:08:21 | CSIQ | sell | $37.400 | long |
2014-01-14 11:00:18 | CSIQ | sell | $38.230 | long |
2014-01-14 12:42:58 | CSIQ | sell | $39.450 | 0 |
Good Job.
I was wondering if Mark or Nape or Sayed could answer the questions in the notes? How can you tell if a chart at the end of the day is good enough to keep a few for the next day? thanks guys!
thanks nape so in this case, it would have been risky as it didn't have much volume compare to during the day.
This one actually closed pretty well today. You could have held a few shares to see how it opens tomorrow, but you want to be cautious holding solar stocks as they can dump pretty hard at the open.
For me if it closes at highs and didn't violate intraday (or 30 min support) after my entry, i'll swing a couple with a stop under the most recent support.
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Perfect entry, perfect scaling. It's trades like this that make your week and month.