Bought a small quarter position as its acting very well from a test to the 50 day inside a VCP pattern.
Position 8K, another 1.5% increase in exposure, now 21% overall invested.
Avg Cost: 53.35
Stop: 50
Risk: 6.28% (500 USDs-->quarter of "aggressive").
Market is correcting but my portfolio is on the green and my pilot stocks are holding ok. The 55 area is a key area of resistance.
Position 8K, another 1.5% increase in exposure, now 21% overall invested.
Avg Cost: 53.35
Stop: 50
Risk: 6.28% (500 USDs-->quarter of "aggressive").
Market is correcting but my portfolio is on the green and my pilot stocks are holding ok. The 55 area is a key area of resistance.
Trade closed manually
No conviction here. Closing this position to finance other risk. Exited @53.5349Disclaimer
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Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.