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One sample post-trade-analysis on BQ6623-800.
Basically, we bought when du's price was almost highest and got rekt. For reference, our target sell px is 1200, making a $10 profit.
We could have made it before Sep, but it seems we listed too late and things only got worse from there.
I am concerned that this pattern where we buy at high but when shoes arrive in china the price drops. may be we should make the profit margin lager to handle this issue
We want to answer the question: given what we have now, were the previous buys reasonable? How much we should price them at now?
This post-trade-analysis feature will be useful.
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