-$94 Loss
NUMDLong Stock
itech1921

No comments on this POS

00

Broker:Fidelity
$21 Profit
NUMDLong Stock
TroyMan

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 9/23 8:43 $0.0355 1k shares 51% off 9/20 $0.0731 HOD. Price went sideways and slowly down. Added 9/26 8:53 $0.0275 1k for 2k shares total at $0.0315 avg. Price closed at highs on 9/26 and when the price hit $0.042 9/27 8:58, I got out as the Strategy goals were met & I can't be greedy!

000

Newsletters:TimChallenge
Broker:Fidelity
$9 Profit
NUMDLong Stock
TroyMan

I got in this trade because I've made 2 other trades on it in the past 4 trading days averaging 10% profit & it was OTC Biggest % Gainer 9/14 & 9/15. Dip bought 9/20 10:09 $0.0585 800 20% off 9:12 $0.0731 HOD. Price went down so added 10:46 $0.0505 800 for 1.6k shares total at $0.0545 avg. Price went sideways on lower volume so I set my profit target for just 10% and Fidelity got me out 9/21 9:04 $0.06. Price is $0.0543 at 9:10.

000

Newsletters:TimChallenge
Broker:Fidelity
$4 Profit
NUMDLong Stock
TroyMan

I got in this trade because it was the OTC #1 Biggest % Gainer with Volume on 9/14 & 9/15. Dip bought 9/19 11:14 [Fidelity gave me 500 at $0.0483 & 500 at $0.0484] 20% off 10:12 $0.0605 HOD. Price went sideways so I tried to get out inside the spread before the close & Fidelity got me out 14:52 $0.0524 615 shares & 9/20 8:49 $0.053 385 shares for $0.05263 avg.

000

Newsletters:TimChallenge
Broker:Fidelity
-$62 Loss
NUMDLong Stock
itech1921

When I started into this position, the stock was on its 5 green day. Had the normal pullback over a few days, then tanked, and it was a $220 loss at that point, BUT, I held over the weekend and it gapped back up the following Monday. Still a loss, but not as bad as $220

00

Broker:Fidelity
$6 Profit
NUMDLong Stock
TroyMan

I got in this trade because I saw Sykes enter in Chat & it had spiked to OTC Biggest % Gainer on 9/13 AH PR. Dip bought 9/14 11:55 $0.03351 [Fidelity gave me 500 @ $0.0333 & 1.2k @ $0.0336] 20% off 10:37 $0.0419 HOD using a pre-set Limit Buy. Price went sideways & down & I wasn't filled on my dip buy at $0.0265. Price moved up 9/15 open & hit $0.038 at 8:38. When I saw momentum turn on Bid in L2, I got out to save my 10% profit target & Fidelity gave me 8:38 $0.0373 750 & 8:39 $0.0369 950.

000

Newsletters:TimChallenge
Broker:Fidelity
$12 Profit
NUMDLong Stock
-$150 Loss
NUMDLong Stock
$35 Profit
NUMDLong Stock
timothysykes

Entry comments: Partial fill on this runner, change of control SEC filing https://tim.ly/3LfL78Z let's see how far it can go, wanted to load up at .03, but missed the dip buy so smaller position now

Exit comments: Zzzzzzz, out for small gains but no big spike, the real play was the dip buy at .03 and I missed my execution...MTP also had breaking news at the same time, reverse split play, I should've gone with that one as its spiking more

5
420

$2 Profit
NUMDLong Stock
ninjatrades23

Waited for NUMD to break HOD after holding its morning move pretty well. Got in .0368 and risking .03 tried to give NUMD time after NUMD was holding prev high for an hour but eventually did break midday support. Then got a good exit at the best price

00

Broker:Fidelity
$0 Loss
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
$1 Profit
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
$1 Profit
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
$0 Loss
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
$2 Profit
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
-$2 Loss
NUMDLong Stock
SirGhoul15

Bulk Upload 9/12/22 - 9/16/22

000

Broker:Fidelity
Wolfie5280

Breaking News play, got in basically asap because it looked like it was supernovaeing, up 89% with 3M volume traded already in the first 15 minutes. Kinda sketchy because I had to hold through the first haf of the day, chose to risk off the last big dip under .03, and whats worse is I didn't sell into strength in the 4's because I didn't see the previous FGD's failed and it wasn't an ideal breakout over highs which is why I eventually sold

000

Broker:ETrade
-$63 Loss
NUMDLong Stock
wildwes

Weak. Sykes got in right after I did and the sellers came in. Last week was good, this week not so much

000
Page
of 1
*Results may not be typical and may vary from person to person. Making money trading stocks takes time, dedication, and hard work. There are inherent risks involved with investing in the stock market, including the loss of your investment. Past performance in the market is not indicative of future results. Any investment is at your own risk. See Terms of Service here.

Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.