Before EPS release, was down 8/9 % after bought (around middle March)- No Risk Management.
That should be a exit normally, didn´t stick with it, because i was thinking this could jump on the next EPS Release (very risky, easily a gap down).
around 180 i added more shares, i liked the price action after clearing a range and daily base with volume. Pullback/consolidation was in decreased volume.
Trailing Stops ? in the future
Execution detail:
You need to log into your Tradervue account to leave a comment. If you don't have one,
it takes
just a few seconds to sign up, and it's free!