Very nice breakdowns. This stock had negative news on a gap down. The starter trade was a little precarious in the early morning and ended up x2 on my risk as it quickly pulled against me. I adjusted my expectancy for profits and took a nice 1:1. Poor - fair risk management and share size could be reduced in the future on these early entry trades in the very early morning market. Subsequent scalps were very nice and I am very happy about reducing my risk on each next trade in order, until finally I had a losing trade on the last one for about 10% of the risk on the initial trade. This is an excellent example of my core strategy trade.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2018-11-09 09:31:15 | ATVI | sell | $55.010 | short |
2018-11-09 09:39:40 | ATVI | buy | $54.500 | short |
2018-11-09 09:47:54 | ATVI | sell | $54.010 | short |
2018-11-09 09:50:41 | ATVI | buy | $53.690 | short |
2018-11-09 09:52:24 | ATVI | buy | $54.040 | 0 |
2018-11-09 09:55:59 | ATVI | sell | $53.650 | short |
2018-11-09 09:56:41 | ATVI | buy | $53.910 | 0 |
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