1st trade
-Shorted 44 w/ stop at 44.11 (did not have enough size-Need to be faster and be able to risk more)
-Why short 44?
A) Was Low of Day wick on the opening bar. Love shorting previous LOD as resistance.
B)Psychological level
C) Stock = Weak + hitting multi year lows
D) Cover was OK, target was 43.25, but got ancy and covered a bit early. Need to trust instincts a bit more.
2nd trade
-Follow the trend so I shorted on a retrace to ~43.55 ish area where It was having trouble getting above....Sellers lifted and I got stopped out canceling some of the gains from the first trade. But will still take this trade 10/10 times.
Execution detail:
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