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Here is what is currently happening.
Reenter after a halt on this stock after being up a few bucks on the previous trade. Ended up halting again and needed to get on the plane to take my flight to Orlando. Sold as soon as it was available again, saw that it was falling and the first rule is to cut losses quickly. Ended up with a scratch.
TRADE 1 - Shorted 1400 at 1.33 and covered at .83ish. SOLID trade like my entry was on point and I liked where I got out. Could've been more patient but I got the meat of the move. ---TRADE 2--- Dip bought at .84 for a #5 bounce and it ran to .98 I was up $800 and didnt sell because I wanted to save a trade. I fell to .85 by close and then the whole next day was obvious horrible price action and I added during it and then took an $1100 loss when it gap below .75 support. EPITOME OF MY BAD HABITS