I identified a buyer at 32.35 (and 32.34 later on)>
TWTR was strong and holding VWAP
There was a buyer; I bought infront of the buyer level with risk below it (.34) the first time, took partials when I was up and momentum began to slow, and then took the rest off for near breakeven (I was slow to get out, market moved on me a little quicker than expected).
Same thing the second time, I took it long as it came into that level with 4c risk, and took partials after it broke highs; took more off when it appeared to be stalling out and the rest off when it made a lower low.
I considered getting short at the double top but decided against it.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2019-01-14 09:51:33 | TWTR | buy | $32.410 | long |
2019-01-14 09:53:04 | TWTR | sell | $32.530 | long |
2019-01-14 09:56:10 | TWTR | sell | $32.390 | 0 |
2019-01-14 10:09:08 | TWTR | buy | $32.380 | long |
2019-01-14 10:12:47 | TWTR | sell | $32.600 | long |
2019-01-14 10:15:16 | TWTR | sell | $32.600 | long |
2019-01-14 10:29:33 | TWTR | sell | $32.540 | 0 |
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