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-$260 Loss
GROMLong Stock
murphsp17

should have got out sooner " cut losses quickley" this was not quick enough could have got out at $-100. 00 but did the H&H for a while????????? In the burning is the learning and I am a crispy critter!!!!

000

Broker:Schwab
-$11 Loss
CGCLong Stock
Aseale

2 trades for a 1st Green Day setup. 1st trade - It didn't hit my stop, but I got out for almost breakeven. Should have just left the trade on because it spiked as expected.

000

Broker:TradeZero
Open Trade
MONDLong Stock
TheCaptian95

Entry comments: Attempting to follow Tims weekend trade

000

Broker:Robinhood
-$151 Loss
LIFWLong Stock
-$61 Loss
AVTXLong Stock
TraderEric

Thinking this could keep running so bought on the first pull back after passing premarket highs but no continuation. Should've cut quicker but rules keeping me in the game while learning!!! P.s. man this thing moved fast!!! Gotta keep that in mind when they have big range and are really moving especially when choppy!

00

Broker:ETrade
TraderEric

Took a chance on this percent gainer hoping it squeezed and my theory played out. Focusing on the short squeeze pattern bc it keeps happening over and over. Still learning big thanks to Tim Sykes for the most recent video lessons!!!

00

Broker:ETrade
$167 Profit
CGCLong Stock
-$43 Loss
AVTXLong Stock
$20 Profit
MLGOLong Stock
$1 Profit
MLGOLong Stock
-$8 Loss
MLGOLong Stock
-$17 Loss
MLGOLong Stock
-$397 Loss
GVPLong Stock
Kongase140

Entry: Gapper. Buy pre-mkt near resistance half # 0.5. Goal is to sell in the morning push with large volume in the high 0.6. Biggest vol day. Risk 0.44. Exit: Out when risk level is about to trigger. Should have stick to my watchlist and buy BRDS for a potential gap up above 1.

00

Newsletters:TimChallenge
Broker:ETrade
-$17 Loss
CNXALong Stock
J2X

trade went against sm gains plan - exited with small loss

00

Broker:ETrade
$16 Profit
MLGOLong Stock
J2X

was holding pm vwap consolidating around 4.90's. bought on small dip looking for an afternoon spike - spike didnt happen so i got out with smalll gain.

00

Broker:ETrade
J2X

planned to buy on a dip.. not much of a dip. took small entry and took small gains staying disciplined. could have gone higher but got out with nice gains. prep score was in the 80-85 range had news - wasnt positive about the effect. stock rose after my exit slightly to its inevitable turning point then tanked. overall very good trade !!!

00

Broker:ETrade
-$101 Loss
AVTXLong Stock
Elbigpai12

Bought this with small size trading 140 million in volume risking .14 with intentions to add at .155 or .16 depending if it broke out convinsingly but it did not and got stopped out at .14

00

Newsletters:TimChallenge
Broker:ETrade
Elbigpai12

In small size at 5.77 risking 5.42 added once I was up 10 percent so at 6.34 full size risking 6.17 sold at 6.64 because I though it was taking too long to make a new HOD and I have been burned before for giving stocks too much time so I decided to lock in safe profits

00

Newsletters:TimChallenge
Broker:ETrade
$16 Profit
MLGOLong Stock
manuelbritto

Entered my position when the stock was approaching PMH in the Premarket. The stock was responding positively to the catalyst (Good news). After buying the stock did not react as expected and even the stock breakdown the VWAP after Market opened, Although the stock price was not as expected, the trend live suggested the price was moving up. The price exploded and sold once I reached my profit target.

00

Broker:ETrade
$54 Profit
AVTXLong Stock
$53 Profit
CGCLong Stock
$8 Profit
CYBNLong Stock
-$593 Loss
EBETLong Stock
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*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.