BUY signal the
week of 2.4.13 (Friday) at $43.56. My first stop is $29.97, so my initial risk
(R)/share will be $13.59.
History (beginning in 2005):
Starting out, that $13.59/share (31.2%) risk seemed a little high to me, but after a closer look it's actually right in line with the initial risk of the the other three Deckers Outdoor trades I've taken since 2005: 32.1%.
History (beginning in 2005):
Winning Trades: 2 | 66.7% | +$39.27/share avg.
Losing Trades: 1 | 33.3% | -$16.82/share avg.
Average Trade: +148.6% | +$20.57/share | Reward-to-Risk (R): +4.33Starting out, that $13.59/share (31.2%) risk seemed a little high to me, but after a closer look it's actually right in line with the initial risk of the the other three Deckers Outdoor trades I've taken since 2005: 32.1%.
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