Held gap all of P/M and was perking on volume, higher lows. Catalyst/news I didn't understand, decided to just play price action so I reduced my size a bit. Risking 1.70 ish. Volatility is still very strange considering the float and how much volume it's done, maybe due to 3 letter ticker. Was patient enough to see it through P/M high break which was the plan. Stock had no trouble breaking two and just gave it a little extra time after plan was met to see what stock would do.