Not sure what I was thinking on this one,
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-02-21 10:20:04 | MVIS | sell | $2.850 | short |
2014-02-21 10:28:37 | MVIS | buy | $2.950 | 0 |
2014-02-21 10:29:12 | MVIS | sell | $2.910 | short |
2014-02-21 10:29:12 | MVIS | sell | $2.910 | short |
2014-02-21 11:57:46 | MVIS | buy | $3.010 | 0 |
On that second entry I am going to guess that you saw it come back to EMA and were anticipating a bounce back?
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1st Short : stock was down 6 straight candles or the equivalent of about 18%. Should have let it base a big longer and gotten a quality confirmation before taking the short.
2nd short looks like a gamble.... What was your thesis on that one at the time?