Entered during the pull back thinking that it was going to bounce. Instead is was consolidating before breaking out to new highs. But being impatience and not seeing that it was holding in a range, I exited. I should've kept my 100 shares in the stock and just added again during the break out. Once the stock broke out I re-entered, scaled during the first spike but missed the second one at $94.00. I exited the last bit of shares on the way down.
Execution detail:
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