Bear flagged, chased it a little bit. Sold too soon again, could of had day long flush but took profits quickly.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-04-07 10:05:58 | APC | sell | $98.852 | short |
2014-04-07 10:11:08 | APC | buy | $98.500 | short |
2014-04-07 10:14:51 | APC | buy | $98.680 | 0 |
2014-04-07 10:45:56 | APC | sell | $98.860 | short |
2014-04-07 10:52:15 | APC | buy | $98.380 | short |
2014-04-07 11:03:45 | APC | buy | $98.790 | 0 |
What was your stop as i'd think it was above 99.50 which would lead to an R:R of less then 1:1.
yeah my stop was 99.50 but my target was 95ish (the consolidation area on April 3rd. Since it was parabolic i figured it could fall hard, and when it didn't. I covered up. Did I read that correctly?
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Nice trade...i have almost the identical one.. LOL