Traded the price getting below VWAP. I have now set down my strategy in relation to entries and size management but there is a huge problem I have to handle that is when exit and how to manage adds and bailout. I guess this is a hell of job considering that primary involves your feeling, emotions and inclination to risk. Most of my trades now applying my strategy are successful but rarely I am able to get most of the movement the stock does. My attitude granted me great exits when the stock reverses against you being able to spot profit even when the stock didn't provide sufficient movement but on the other hand in this way I don't give myself the opportunity to stay in the trade long enough to catch huge profits.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2018-12-20 11:01:28 | FB | sell | $133.520 | short |
2018-12-20 11:05:05 | FB | buy | $133.050 | short |
2018-12-20 11:11:58 | FB | buy | $133.300 | short |
2018-12-20 11:12:58 | FB | buy | $133.560 | 0 |
You need to log into your Tradervue account to leave a comment. If you don't have one,
it takes
just a few seconds to sign up, and it's free!