on my first short i made the mistake of not covering soon enough for some profits and on my second sort i got shaken out again and didnt wait for the big grind lower. Silly trade
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2014-05-12 09:43:01 | PF | sell | $35.050 | short |
2014-05-12 09:43:01 | PF | sell | $35.050 | short |
2014-05-12 10:32:11 | PF | buy | $34.910 | short |
2014-05-12 10:32:11 | PF | buy | $34.910 | 0 |
2014-05-12 11:29:05 | PF | sell | $34.850 | short |
2014-05-12 11:43:32 | PF | buy | $34.850 | 0 |
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Rhetorically ... what is your stop (reasons2exit) strategy? Some like to exit quick and reenter. To me, this was too quick an exit.