Retesting recent weeks high after pullback/consolidation for several days, still active pump. Noticed volume spike and price spike, waited for pullback and higher low, entered with nearby support/risk level, breakout worked and sold prior to $2 level after a few failed attempts to cross it.
Entry: Missed execution on first panic at 9:46am at .0696, then went for second panic rebounding and risking off of G/R (.063). Exit: Cut loss at .0639 thinking trade wasn't going my way, didn't trust risk would hold much longer due to TOD. Did wind up holding G/R line, but second panic only 10%, probably not ideal.
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