Cutting losses (2/10)
I was very lax with my risk management today. My solution to that is by placing a stop loss order to go along my buy. That way the software can sell my position if I hesitate to do it on my own.
Trade Entry (05/10)
I'm starting to realize how trying to buy the initial breakout has lower odds vs just letting it breakout and then waiting for direct confirmation by leting it pullback into an area of support. Im gonna start to apprach my breakout like that from now on. There were other stocks that broke out of their multiday/multiweek/multimonth/ areas and after breaking out they retrace to an area of support. Thats where I can look to capitalize.
Trade Management (3/10)
Overall management was poor due to discipline issues. I need to identify when im wrong to get out of the trade.
Emotions (2/10)
Im not going to lie i got pretty emotional especially due to the fact that I wasnt cutting losses where I should have. I was emotional towards the end when I saw my results in traderview.
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