Good setup, good entry, bad exit. Plain and simple. Same negative tendency that I'm trying to elminate.
Also, I wasn't trading full size... got to be more consistent with my size, especially on these A+ setups. It's about RR, not the actual $ risk (within reason obviously).
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2018-11-08 09:31:38 | TRIP | buy | $62.090 | long |
2018-11-08 09:34:07 | TRIP | sell | $63.790 | long |
2018-11-08 09:34:28 | TRIP | sell | $64.500 | 0 |
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