Thursday, June 4
PNK - Market open price was 12.63. Long entry triggered at 12.63 + 0.21 = 12.84. First Trade: Buy @ 12.84 to a high of 12.90 - 0.32 = 12.58 adjusted down to break 12.50 for a short trade #2 reversal to a low of 11.97 + 0.32 = 12.29 adjusted up to 12.38 for a long trade #3 reversal to a high of 12.65 to breakeven at 12.38
VLO - Market open price was 18.43. Long entry triggered at 18.43 + 0.31 = 18.74. First Trade: Buy @ 18.74 to a high of 19.02 - 0.47 = 18.55 adjusted down to break 18.50. No trade #2 taken that late in the trading session.
XCO - Market open price was 14.55. Long entry triggered at 14.55 + 0.24 = 14.79. First Trade: Buy @ 14.79 to a high of 14.88 - 0.36 = 14.52 adjusted down to break 14.50 for a short trade #2 reversal to a low of 14.25 + 0.36 = 14.61 adjusted up to 14.63 for a long trade #3 reversal to a high of 15.16 to close at end of day at 14.81
DISH - Market open price was 15.81. Short entry triggered at 15.81 - 0.26 = 15.55. First Trade: Short @ 15.55 to a low of 15.55 + 0.39 = 15.94 adjusted up to break 16.00 for a long trade #2 reversal to a high of 16.06 to close at end of day at 15.87
PNK - Market open price was 12.63. Long entry triggered at 12.63 + 0.21 = 12.84. First Trade: Buy @ 12.84 to a high of 12.90 - 0.32 = 12.58 adjusted down to break 12.50 for a short trade #2 reversal to a low of 11.97 + 0.32 = 12.29 adjusted up to 12.38 for a long trade #3 reversal to a high of 12.65 to breakeven at 12.38
VLO - Market open price was 18.43. Long entry triggered at 18.43 + 0.31 = 18.74. First Trade: Buy @ 18.74 to a high of 19.02 - 0.47 = 18.55 adjusted down to break 18.50. No trade #2 taken that late in the trading session.
XCO - Market open price was 14.55. Long entry triggered at 14.55 + 0.24 = 14.79. First Trade: Buy @ 14.79 to a high of 14.88 - 0.36 = 14.52 adjusted down to break 14.50 for a short trade #2 reversal to a low of 14.25 + 0.36 = 14.61 adjusted up to 14.63 for a long trade #3 reversal to a high of 15.16 to close at end of day at 14.81
DISH - Market open price was 15.81. Short entry triggered at 15.81 - 0.26 = 15.55. First Trade: Short @ 15.55 to a low of 15.55 + 0.39 = 15.94 adjusted up to break 16.00 for a long trade #2 reversal to a high of 16.06 to close at end of day at 15.87
