1st entry was wrong, 2nd entry is ok.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-04-14 13:27:30 | NOW | sell | $49.980 | short |
2014-04-14 13:39:18 | NOW | buy | $50.150 | 0 |
2014-04-14 14:15:29 | NOW | sell | $49.920 | short |
2014-04-14 14:41:17 | NOW | buy | $49.400 | short |
2014-04-14 15:12:16 | NOW | buy | $49.000 | 0 |
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Those wrong way moves right after I buy really get me !!
GOOD TRADING !