LOSS
ENTRY
Side: SHORT
Date: 16/01/2016
Tick: 359.1600
Entry: 359.1600
Risk: 260.34
Stop: 403.7366
Size: 2097.6298
Leverage: 8.06
Trailing stop activation: 314.5834
EXIT
Cause: SL
Date: 20/01/2016
Tick: 428.0
Exit: 403.7366
PNL
Realised: -260.34
% Change: -100.00%
CAPITAL
Realised: 25774.05
% Change: -1.00%
NOTES
Entry was big arse candle. How many atr’s