Wednesday, June 27, 2012

27th June 2012 – Flex-C-bility ?!

Buy $

Sell $

Short $

Cover $

Stop Loss $

Profit / Losses

Duration

 

27.12

 

 

 

Even

1 month

 

Reason for Buy / Sell / Short / Cover:

 

  1. Price gapped down and gapped down below its daily 20MA line. All my profit was gone.

 

Lesson Learnt:

 

  1. Europe issues kept popping up and disrupt the market moves.
  1. I have not been working hard enough in the stock market recently. It is good to let go this one at even first. Will come back and haunt it again later.

 

Intraday Chart

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Historical Chart

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