Entry: contract winner premarket spiker, looking to move in the morning. Wanted to get in around .95 and get out around resistance of 1.04 for about 10% gain, risking .85. Quickly fell to risk, looked to be bottoming out, averaged down. COuldn't do much after, tried getting out around 85-87, only partially executed at .84, had to take remainder at .81. 10% gain turned in 9% loss, but not feeling too bad. Should have stuck to .85 out plan.