PRE-TRADE
Premarket plan: If $AAPL makes a pullback to the $152.00 key level, I'd take an entry with a Call Option, with a stop-loss at the $151.50 level breakdown, and a take-profit at the $154.00 level.
Projected R:R Ratio: 1:4
Stop-loss: $151.50
Entry level: $152.00
Take profit level: $154.00
Second entry: None.
Trail-stop: None.
AFTER TRADE
Actual R:R Ratio: 1:4
Stop-loss: $151.50 (Non-taken)
Entry level: $152.00
Take profit level: $154.00
Second entry: None.
Trail-stop: None.
Plan respected? Yes.
What did I do different from my premarket plan? Nothing.
If I did not followed my plan, what could've or should've I done differently on this trade? Nothing.
Comments: Excellent trade. Good opportunity taken, with a good risk:reward ratio.
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2022-10-31 10:21:36 | AAPL11 11 165 CALL | buy | $0.4500 | long |
2022-10-31 11:51:07 | AAPL11 11 165 CALL | sell | $0.5800 | 0 |
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