P/L -$130
Play 1:
Goiong down from 31.0 to 29.5 since opening then rest (flagging?), but missed to see that 29.5 is pre-market low, good reason for bounce point.
Short entry is a total failure.
Play 2:
See the weakness from 30.0, Short entry at 29.93.
But then that spike make me worry and Cover at 30.11
Still can't control my emotion both during in and out.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-02-05 09:45:21 | MYGN | sell | $29.550 | short |
2014-02-05 09:52:27 | MYGN | buy | $30.020 | 0 |
2014-02-05 10:00:34 | MYGN | sell | $29.930 | short |
2014-02-05 10:04:05 | MYGN | buy | $30.110 | 0 |
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