Bought a small quarter position as its acting very well from a test to the 50 day inside a VCP pattern. Position 8K, another 1.5% increase in exposure, now 21% overall invested. Avg Cost: 53.35 Stop: 50 Risk: 6.28% (500 USDs-->quarter of "aggressive"). Market is correcting but my portfolio is on the green and my pilot stocks are holding ok. The 55 area is a key area of resistance.
Trade closed manually
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No conviction here. Closing this position to finance other risk. Exited @53.5349