Was thinking more about keeping my position for the swing than saving the $300 I was up at the open. Dropped quick. Maybe I should have sold more and set the rest at buy price.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-04-08 12:29:54 | TSLA | buy | $215.811 | long |
2014-04-09 09:31:21 | TSLA | sell | $217.910 | long |
2014-04-09 09:34:29 | TSLA | sell | $215.520 | long |
2014-04-09 09:35:04 | TSLA | buy | $215.490 | long |
2014-04-09 09:35:25 | TSLA | sell | $215.500 | long |
2014-04-09 09:42:01 | TSLA | sell | $215.010 | long |
2014-04-09 09:42:01 | TSLA | sell | $215.010 | long |
2014-04-09 09:53:32 | TSLA | sell | $213.600 | 0 |
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