Entry comments: Buying this nice potential multiday breakout during midday dip because I missed the ideal morning entry. Risk is 0.22. Didn’t get full size so may add later with more confirmation. Big picture goal is 0.3 breakout.
Exit comments: (Add 11/29): added some shares at 0.241 risking 0.23; increased my risk by half. Still keeping 0.22 risk for my initial entry. After HOD break, I will move risk to 0.23 for my whole position. (Exit 11/30) I sold 2/3 at 0.268 into the close and swung the rest. Plan was to sell 1/3 at the open and then potentially buy it again. It open weak so I sold right at the open at 0.2525. Used biggest risk yet. Very nice and solid trade!
Did well staying patient for OPTI to prove it could hold above .012. Only sold 5000 shares in the last half hour, but as the next day proved I should of sold more. I did plan to sell a lil amount at the open but got greedy and held. OPTI then dropped rapidly fast and could only get 10000 out of 30000 sold. Sold the rest into bounce.
Bought at .234 when it seemed like .234 which was multiday resistance seem to be holding well. Problem was ZNOG had ok volume but no catalyst causing me to question if I should be in the trade. I got out first half of position when it seem like ZNOG kept making lower high and then took the 2nd half off when a big ask showed up and broke temporary support in the .242. Wasn’t a bad trade was very conservative but due to low volume and lack of confidence the trade would work lead me to leaving trad
Inverse head and shoulders 2nd higher low. After seeing the IH&S worked on a setup that also broke a downtrending trendline, I went long with a goal if it held the 8.70s. I was in and it went slightly lower than my entry, I like setups working immediately as that's how I tend to trade, I sold 2 shares at a slight profit when it came back. It never broke my risk level but I sold the rest near the highs because there was topping action right under 9 which was a good call. I ne
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