I feel as though I traded this quite well, however I completely miscalculated my risk and went in too small. I should have had over double the amount of shares I should have, oh well. I need to work on calculating my risk much quicker and more accurately, that will just come with more practice I assume.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-01-14 09:34:15 | GME | sell | $38.300 | short |
2014-01-14 09:40:25 | GME | buy | $37.400 | short |
2014-01-14 09:46:29 | GME | buy | $36.470 | 0 |
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