BUY signal the
week of 10.24.11 at $107.63. My first stop was $73.46, so my risk
(R)/share was $34.17. Stopped out the week of 5.29.12 at $97.31. The percentage loss on this trade was -9.6%, and the reward-to-risk ratio was -$10.32/$34.17 = -0.30.
From +26.5% to -9.6% in just over month on this trade...
History (beginning in 2003):
From +26.5% to -9.6% in just over month on this trade...
History (beginning in 2003):
Winning Trades: 2 | 40.0% | +$45.01/share avg.
Losing Trades: 3 | 60.0% | -$5.49/share avg.
Average Trade: +60.2% | +$14.71/share | Reward-to-Risk (R): +1.98
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