Play: Bull Flag
Stock squeezed, was still short bias but when 3 held, i wanted to long it which i did. Since my overall bias was short, when i saw 3.18 unable to break with big volume, i got scared of the stuff and sold flat. Left big money on the table, pretty pissed about it.
Reasons to sell: thought it was a stuff, 3.18 wasn't budging, not good discipline
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2015-08-19 09:55:32 | CRBP | buy | $3.180 | long |
2015-08-19 09:55:39 | CRBP | sell | $3.190 | 0 |
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I think you did a great job of managing risk. However, the short play turned into a long. I saw it and froze anyway. Did you? Playing to not lose can be costly. Not necessarily true for you, but venting now on MY same behavior. ;)