ES
Open:
Short 1 @ 1355.00. 5m TC18, $TICK +400, gonna try to hold on to the position, watching the $TICK for a -1000 exit or a potential stop loss if $TICK reverses to the plus side.
Close:
Could've taken a $100 profit shortly after the entry, but was trying to hold on to it and see how it feels and turns out, may end up with a loss.
Was afraid of adding to the position when $TICK hit +400.
Cover 1 @ 1353.00. Finally ran out of patience and got out with 2 points profit. It immediately went lower and the missed trade would've made $100.
1 contract $100 gross, $93.68 net.