bought at the top of the first run up thinking it would dip a little and continue to move, dipped harder than i thought, held through it, tried to sell at .77 but couldn't get executed as it turned out to be the top of the next run up. secs later had dipped again. Watched it move sideways for awhile and got out once it moved down again. Bigger loss than I wanted but not near as big as it could've been. Had the right idea this time at least, just a bad execution.
entered this energy stock right before p/h as it bounced off former resistance, new board member catalyst, holding overnight solid uptrend, looking for a run to .5704 which is the hod, if it can break that next resistance in .7018, would love to sell in that area, risking .5169 as support, 3:1 risk reward, - out for a tiny gain, covered my commission, left money on the table got too greedy, saw .64 early premarket at 8 am, was making 20% on my money, could have made 20%