Earnings play
1) Shorted up against 37 as a fade play down to 36.50
2) Bad cover on 1st lot but it was being stubborn so decided to limit risk
3) Covered 2nd lot when it took a quick drive down
4) Covered last lot when it lifted .90
Good trade overall but I could work on not covering 1st lot so quickly to cover/limit risk. Had this dropped below .50, it would have likely faded to 36.00
Execution detail:
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