Premarket gapper, shorted it on the flag breakdown around $10 but got filled lower at $6.06 so once I realized its a bad entry and stock started bouncing off the 20EMA i got out.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-04-01 09:53:41 | EXTR | sell | $6.070 | short |
2014-04-01 09:53:41 | EXTR | sell | $6.070 | short |
2014-04-01 09:53:42 | EXTR | sell | $6.060 | short |
2014-04-01 10:05:00 | EXTR | buy | $6.080 | short |
2014-04-01 10:05:00 | EXTR | buy | $6.080 | short |
2014-04-01 10:05:29 | EXTR | buy | $6.075 | short |
2014-04-01 10:05:30 | EXTR | buy | $6.079 | short |
2014-04-01 10:05:40 | EXTR | buy | $6.080 | short |
2014-04-01 10:05:45 | EXTR | buy | $6.070 | short |
2014-04-01 10:06:03 | EXTR | buy | $6.070 | short |
2014-04-01 10:06:03 | EXTR | buy | $6.070 | 0 |
Yup mate, my thought process was just like yours but got filled a bit lower which I did not like for exactly those reasons so bailed out.
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You explained it right 6.10 was the entry, you got filled a little lower which suck because it took your R:R 2:1 to a 1:1
6.10, stop 6.15, target #1 6.00. vs 6.07 stop 6.15 target #1 6.00