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Entry date Aug 22, 2024: Bought 50 shares of GOVX for $8.5227. Morning panic play, bought the dip when it was bouncing off key support right above R2G line, hanging around after a multi-day run, 8/10x float rotation, 4.96M float, former/recent spiker. Goal was .50¢ bounce. Risk/reward was 1:5, .10¢ downside .50¢ upside. Exit date Aug 22, 2024: Sold 50 shares of GOVX for $8.353. Didn’t hold bounce, sold when it hit risk level, went G2R, dipped more then bounced, could always re-enter.
Entry date Aug 20, 2024: Bought 500 shares of INM for $0.6792. DNR play, bought on the dip when it bounced off VWAP, big % gainer with Alzheimer news, 17.4x float rotation, 8.24M float, former spiker. Goal was .06¢ bounce. Risk/reward was 1:3, .02¢ downside .06¢ upside. Exit date Aug 20, 2024: Sold 500 shares of INM for $0.65. Did not hold bounce, sold when it started dipping and hit risk level, followed my plan.
Entry date Aug 15, 2024: Bought 100 shares of GOVX for $4.11. Potential gap up play, bought when I thought it was going into a halt, expected a gap up when it resumed, daily uptrend, 2x float rotation, 4.96M float, former/current runner. Goal was .30¢ gap up. No risk/reward plan. Exit date Aug 15, 2024: Sold 100 shares of GOVX for $3.54. Stupid trade, just chased without a plan and payed the price.
Entry date Aug 15, 2024: Bought 50 shares of SERV for $11.395. Morning panic play, bought when it bounced off G2R & key support level, holding midrange on daily chart, keeps having morning panics, 2.17M volume, 17.55M float, recent runner. Goal was .30¢ bounce. Risk/reward was 1:3, .10¢ downside .30¢ upside. Exit date Aug 15, 2024: Sold 50 shares of SERV for $11.43. Started bouncing but seemed like it wasn’t going to hold, sold for a scratch.
Entry date Aug 14, 2024: Bought 15 shares of VIRT for $29.9749. Swing trade idea, plan by IRIS, $30 entry level, new 52W high, 125.4K volume, 83.07M float, former & current runner. Goal was $10 uptrend. Risk/reward was 1:10, $1 downside $10 upside. Exit date Aug 15, 2024: Sold 15 shares of VIRT for $28.97. Set up a stop loss, got triggered, plan didn’t work.
Entry date Aug 14, 2024: Bought 50 shares of GNLN for $21.20. Afternoon VWAP hold HOD break play, bought when in broke HOD, day 3 surge, 30.7x float rotation, 520.04K float, former runner. Goal was $1 spike. Risk/reward was 1:5, .20¢ downside $1 upside. Exit date Aug 14, 2024: Sold 50 shares of GNLN for $19.724. Held way too long, desperate trade for missing out on earlier breakout, need to control emotions and trade with logic, respect price action!
Entry date Aug 14, 2024: Bought 50 shares of GNLN for $15.10. Key resistance breakout play, afternoon buy when it broke key and whole $15 level below $16 HOD, on a day 3 surge move, closed private placement yesterday, 25x float rotation, 520.04K float, former runner. Goal was .50¢ spike. Risk/reward was 1:5, .10¢ downside .50¢ upside. Exit date Aug 14, 2024: Sold 50 shares of GNLN for $15.1093. Sold on a dip for a scratch, kept up trending slowly, eventually squeezed, focus on price action.
Entry date Aug 14, 2024: Bought 50 shares of SERV for $13.5223. Morning panic play, bought on the panic when it was bouncing off key support & VWAP at the open, spiked on earnings AH yesterday and this pre-market, 8.29M volume, 17.55M float, recent IPO & runner. Goal was .50¢ bounce. Risk/reward was .10¢ downside .50¢ upside. Exit date Aug 14, 2024: Sold 50 shares of SERV for $13.34. Didn’t hold bounce, sold for a small loss.
Entry date Aug 13, 2024: Bought 100 shares of GNLN for 11.39. R2G play, midday re-buy when it was up trending, anticipated R2G this time just in case it panicked again at that level, better risk/reward, 8.6x float rotation, 520.04K float, former runner. Goal was .50¢ spike. Risk reward was 1:5, .10¢ downside .50¢ upside. Exit date Aug 13, 2024: Sold 100 shares of GNLN for $11.39. Sold when it got rejected at R2G level again, nice spike.
Entry date Aug 13, 2024: Bought 50 shares of GNLN for $11.60. WORG play, bought when it went R2G, possible #5 bounce on day 2, private placement after huge squeeze yesterday, panicked at the close, 5.3x float rotation, 520.04K float, former runner. Goal was .50¢ spike. Risk/reward was 1:5, .10¢ downside .50¢ upside. Exit date Aug 13, 2024: Sold 50 shares of GNLN for $10.45. Massive panic after crossing R2G, should’ve taken private placement into account, very aggressive trade, paid the price.
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.