First entry good. Should have only sold half to catch second pop. Second enrty bought high. Sold first pop but should have put stop at buy price.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-01-21 10:49:37 | NQ | buy | $16.180 | long |
2014-01-21 10:49:37 | NQ | buy | $16.180 | long |
2014-01-21 10:49:37 | NQ | buy | $16.170 | long |
2014-01-21 10:49:38 | NQ | buy | $16.190 | long |
2014-01-21 10:49:38 | NQ | buy | $16.180 | long |
2014-01-21 10:54:46 | NQ | sell | $16.420 | long |
2014-01-21 10:54:46 | NQ | sell | $16.420 | long |
2014-01-21 10:54:46 | NQ | sell | $16.430 | long |
2014-01-21 10:54:46 | NQ | sell | $16.420 | long |
2014-01-21 10:54:46 | NQ | sell | $16.430 | 0 |
2014-01-21 11:19:01 | NQ | buy | $16.700 | long |
2014-01-21 11:19:03 | NQ | buy | $16.650 | long |
2014-01-21 11:19:03 | NQ | buy | $16.650 | long |
2014-01-21 11:19:04 | NQ | buy | $16.660 | long |
2014-01-21 11:19:06 | NQ | buy | $16.700 | long |
2014-01-21 11:19:08 | NQ | buy | $16.700 | long |
2014-01-21 11:21:03 | NQ | sell | $16.810 | long |
2014-01-21 11:21:03 | NQ | sell | $16.820 | long |
2014-01-21 11:21:06 | NQ | sell | $16.830 | long |
2014-01-21 11:23:05 | NQ | sell | $16.810 | long |
2014-01-21 11:43:12 | NQ | sell | $16.550 | long |
2014-01-21 11:43:12 | NQ | sell | $16.550 | 0 |
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