0.177.9678
6.0384.0
Total Profits:
-$107.54
$1 Profit
BBLong Stock
MWright88

*Filling Knowledge Account #The Process

000

Broker:ETrade
-$2 Loss
SNDLLong Stock
MWright88

*Filling Knowledge Account #The Process

000

Broker:ETrade
-$6 Loss
LIZILong Stock
MWright88

*Filling Knowledge Account #The Process

000

Broker:ETrade
-$0 Loss
FTEKLong Stock
MWright88

*Filling Knowledge Account #The Process

000

Broker:ETrade
-$5 Loss
TTNPLong Stock
MWright88

*Filling Knowledge Account #The Process

000

Broker:ETrade
$5 Profit
GRILLong Stock
MWright88

Trading goal is to gain 10% - 30%. Risk 2% - 5%. Stock continued to spike. Already sold half position. Sold the rest once on first red candle after spike.

000

Broker:ETrade
$2 Profit
GRILLong Stock
MWright88

Trading goal is to gain 10% - 30%. Risk 2% - 5%. Pre-market ended at 2.22, with a key support level at 2.03. So I set my plan to see if it would dip under the support level, if it bounce/rip I would enter on the bounce past breakout level (2.15). Bought 26 shares past breakout level once it showed proof. Sold half position (13) to collect gains. Sell the rest if it continues to spike.

000

Broker:ETrade
-$7 Loss
CBLILong Stock
MWright88

Trading goal is to gain 10% -30%. Risk 2% -5%. A Pre-Market Gainer. Stock broke out during pre-market, going from 2.75(support level) to 4.42(resistance level). Prepared for a morning panic and was going to buy into the rip. Stock dropped at opening but consolidated at 3.70 start to form a cup pattern. Missed the initial spike due to other trades. Got in at the end of the spike (FOMO). Bought at the top. Stock started to go down. Got out before I took a major hit.

000

Broker:ETrade
-$14 Loss
APTXLong Stock
MWright88

Trading goal is to gain 10% -30%. Risk 2% -5%. A Pre-Market Gainer. Support level at 5.48. Resistance level at 7.93. Prepared for a dip n rip pattern. I set my breakout level at prev. close (6.79) and risk level at 5.50. Did a small position size of 16 shares. Started to spike at 5.86, bought late in to the spike at 6.23 (FOMO). Bounce failed but consolidated above risk level. After second bounce failed decided to get out. Wall of Sellers broke risk level. sold under risk level at 5.36.

000

Broker:ETrade
-$34 Loss
ACORLong Stock
MWright88

Trading goal is to gain 10% - 30%. Risk 2% - 5%. Went to a day high at 1.80 in pre-market, but ended pre-market at 1.22. Set risk level at 1.12. Set breakout level at 1.29. Did a large position size of 153 shares. Got in at 1.335 once stock showed proof of breakout. Stock halted then broke out at 1.64 days high. Before I was able to take gains, stock halted again and was not able to take a profit from spike. Waited for the bounce off halt, but failed. Got out at 1.11.

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.