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Here is what is currently happening.
Contract winner, holding above VWAP had a perk, thinking it will retest its HOD, Took a position and risk off VWAP break, looking for it to test the HOD, my exit was premature, hindsight makes me wish I held. Will work on more patience. As when I trade I should have bigger goals than to make .08 on a $8 ticker.
Took a speculative position on a Big % gainer that seem to be bottoming at support zone. Volume shows its still a solid news of contract winner with Ripple a block chain company. Didn't feel comfortable with it continue push down from 2.90's zone, so took the profit to make up for early morning loss.
Took this position anticipating it was going to Break above R/G, as it had a FGD yesterday and panic out the gate this morning. bottom out around $5.30 making higher lows giving me the feeling it will keep going up. When it Failed at 5.40, I got out thinking it was a trend change. Around 10:30 it retested the r/g zone, this time bursting through all the way to 5.75, real nice, glad to be on the right track, just need to work better on entry and trade time.