Yesterday I was trading a stock with a negative news catalyst that was below an important longer term technical support level and intraday VWAP, got short, and took a loss. I would make the trade again.
After taking a loss consider whether you would take the trade again. Here are the questions I asked myself:
1) Did I have an edge with this trade?
2) Was the trade in my PlayBook?
3) Was my stop too tight?
4) Was my stop too loose?
6) Should I have lightened up in the position since it was not working right away?
6) Was I too big in the trade?
7) Should I have been bigger?
8) Why didn’t this trade work?
9) Was there something from the tape that foreshadowed this trade would not work?
10) Should I have re-entered after getting stopped out?
11) Would I make this trade again?
*no relevant positions