0.027.48
100.045000.0
Total Profits:
$1,866.50
Invisible

Entry comments: Buying this strong FGD near its highs. Risk is $0.42. Goal is to sell for 10-20% profit near the close.

Exit comments: Solid gap up. Sold premarket even though I think it can morning spike.

000
-$28 Loss
TSNPLong Stock
Invisible

Entry comments: Buying this nice multi-week breakout near the intraday HOD breakout. Risk is $0.38. Goal is to make 10-20%.

Exit comments: The breakout was very weak and pulled back hard, so cutting losses quickly.

000
$40 Profit
OPTILong Stock
Invisible

Entry comments: Buying this multi-month breakout into the strong close. It has a history of nice gap ups and gap ups after breakouts. So my goal is to sell into the gap up tomorrow.

Exit comments: Nice gap up as I expected after the breakout day. Selling at the open as it's not showing signs that it can have a morning spike locking in solid profits!

000
-$60 Loss
ASTILong Stock
Invisible

Entry comments: Buying this perfect big morning panic on a multiday runup. Risk is low $0.024. Goal is to make 10-20%.

Exit comments: Very disappointed trade since the stock was setting up perfectly. Most likely bigger panic needed, even bigger than this 50% panic. Will stick to my plan and take small losses!

000
$48 Profit
ABMLLong Stock
Invisible

Entry comments: Buying nice multiday and intraday breakout on a dip near the close. Will hold overnight and sell into a gap up tomorrow.

Exit comments: Very small gap up, so I waited for the market open and sold immediately after a nice morning spike.

000
$55 Profit
ABMLLong Stock
Invisible

Entry comments: Buying a potential multiday breakout at $1.62. Risk is open $1.5. Goal is to make 10-20%.

Exit comments: It was a patience play, stuck to my risk and even though it didn't breakout right away, I was patient. When it broke out, it spiked nicely, and I sold almost at a top as it is pulling back now. Very nice trade.

000
Invisible

Entry comments: Buying this huge all day runner on a little dip off its high. Goal is to sell into a gap up tomorrow. Cut immediately if no gap up.

Exit comments: Perfect gap up, so selling premarket as the profit is already pretty nice. Perfect OTC gap up. Will continue buying strong OTC stocks into the close.

000

Broker:ETrade
$0 Loss
VDRMLong Stock
Invisible

Entry comments: Buying this nice morning panic at yesterday's low. Risk is $0.19. Goal is to make 10-15%.

Exit comments: Sooo boring, didn't get the bounce I wanted but still was patient. Exited as I don't see any sings of a potential bounce.

000

Broker:ETrade
Invisible

Entry comments: Buying this nice morning panic. Risk is $0.031. Goal is to make 10-20%.

Exit comments: Amazing trade. Took my lesson from yesterday that this stock has a strong support at $0.03, so I saw it couldn't break it yesterday and today, so I got in. My risk was $0.03 not $0.031. Got a quick spike to $0.036 in 3 minutes and sold immediately locking in profits. One of my best trades so far!

000

Broker:ETrade
$75 Profit
VDRMLong Stock
Invisible

Entry comments: Buying this nice panic off its huge bounce. Risk is on VWAP $0.045. Goal is to make 10-20%.

Exit comments: Quick bounce, so I sold for a solid gain, not going to hope it bounces like the first bounce. Nice dip buy.

000

Broker:ETrade
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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.