Entry was a bit early, it was still pretty extended, should've waited for another candle; entered because it failed previous high and started retracting. Sold into spikes and as it rolled over.
Last entry/exit was accidental (miscalculation of remaining shares).
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-04-03 10:44:54 | TEL | sell | $61.520 | short |
2014-04-03 11:16:49 | TEL | buy | $61.420 | short |
2014-04-03 11:38:09 | TEL | buy | $61.220 | short |
2014-04-03 12:04:19 | TEL | buy | $61.180 | 0 |
2014-04-03 12:04:19 | TEL | buy | $61.180 | long |
2014-04-03 12:05:03 | TEL | sell | $61.180 | 0 |
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