Brought 2000 shares of SHMP @ 0.373 on a morning spike. Was waiting for it to break 0.36 as that looked like a strong resistance level. Stock went up to 0.39 then it started having trouble moving and was staying there. Should of sold when it was having trouble, instead the stock dropped very quickly and I couldn't get out. Finally got out @ 0.352 for a loss of $41.80. Lesson learned, if a stock is having trouble, get out!!!
Brought 300 shares of CRMD @ 2.53 thinking it was spiking after having a morning panic. Stock just bounced slightly before dropping again, sold @ 2.5342 for a tiny profit. Should of looked at support/resistance levels and would of seen that 2.41 was a better level to buy in at. (Bounced off that level 3 mins after my sell order, only a small bounce though).
WOOHOO!!!!! First big profit!!!!! Perfect dipbuy, was watching for it to go green after having a massive panic. Brought 1400 shares @ 0.54 as the stock went green. Sold @ 0.6338 when the stock slowed down and started to go red. Learning to watch stocks over several days/weeks rather than looking for daily plays only.
Dip brought 300 shares of BIOC @ 2.175 as the stock had a good panic at market open and showed signs of uptrending. Sold shares @ 2.2385 as the stock was bouncing a little and I wanted to lock in my first profit of 2019. Should of held for 2 more minutes and would of doubled my profits. Good lesson about not selling as soon as a stock goes slightly red
Brought 500 shares of UPL @1.1393 thinking it was having a good morning spike. Stupid trade, realised as soon as I got into the trade. Big wall of sellers appeared and the stock started dropping quickly. Sold my shares @1.082 as that was the fastest I could get out, loss of $28.65
Hesitated so got in late on the spike. Brought 200 shares of ALQA @ 3.065, the stock was spiking up and holding good volume. Started to dip so I panic sold @ 3.09, then it continued up to 3.17. Realised I need to give stock more time if the volume is holding and level 2 looks good. Small profit of $5