Nice strong pre-market chart.
Long entry 10.59 at pull back without waiting for confirmation. Stop loss at 10.39 below (red) flag pole which seems ackward.
It suddenly spike to 11.0 make me forget to sell (at least half) since it is a 50 cents move, hope it will make a big run up.
Didn't happen, Sell at 10.76 for small gain.
Following play is because of emotional feeling which finally offset the first green trade.
Lesson learn:
Chart is messy - first run up to 11.0 base on red flag pole, should realize that and stay away before make second trade.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-03-07 09:43:31 | SKUL | buy | $10.590 | long |
2014-03-07 09:54:18 | SKUL | sell | $10.760 | 0 |
2014-03-07 09:56:04 | SKUL | buy | $10.510 | long |
2014-03-07 09:57:28 | SKUL | sell | $10.280 | 0 |
2014-03-07 10:21:25 | SKUL | buy | $10.540 | long |
2014-03-07 10:35:20 | SKUL | sell | $10.180 | 0 |
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