first attempt was a quick pullback on the 1 min, missed scalp. ended up a small gain
second attempt i completely misread. the stock was in a consolidation phase, the second 5 min candle was the top of the flag pole and played as an opening range break. stock was up over a 100% in two days, some patience however on the 5 min would have produced a winner off the 9ema bounce.
WHERES SPY,QQQ,IWM??
REASON FOR SHORTING??
SETUP?
RISK?
TARGET LEVELS?
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-03-20 09:36:26 | ISR | buy | $3.480 | long |
2014-03-20 09:36:53 | ISR | sell | $3.540 | long |
2014-03-20 09:38:28 | ISR | sell | $3.470 | 0 |
2014-03-20 09:44:46 | ISR | buy | $3.520 | long |
2014-03-20 09:51:58 | ISR | sell | $3.210 | 0 |
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