($15) Loss
PSTVLong Stock

former runner, low float mania and seeing RLMD in P/M also, catalyst. only drawdown was the huge gap and crap it had recently which might've been why the trade didn't work out too many baggies. bought on relative weakness, stayed patient and followed objective price action, once it broke P/M highs and pulled back just had to remind myself that it was healthy price action but the big volume bar at 7:00 was the sell signal for me


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