0.11984.85
23000
Total Profits:
-$216.19
-$18 Loss
MTCLong Stock
MarkP_196

Re-entered after consolidation & higher highs. Risk .20¢ Moved down to risk .40¢. Busy w/ other things I missed each opportunity to exit w/ a little profit. Just bailed at eod. I really need start to do things very differently because right now I am in full on S.U.C.K. mode at all this. Getting worse, not better. The only thing I'm doing well is owning up to how badly I'm doing by posting all my trades. Woot. Fucking depressing. (sigh...)

000

Broker:Webull
-$12 Loss
ANPCLong Stock
MarkP_196

Pretty much the exact same story as MTC 1st trade this a.m.

000

Broker:Webull
-$33 Loss
MTCLong Stock
MarkP_196

Saw this myself p/m gainer. Also on RK's list. G&C R. Price down only <.25c 4 min after open. Entered near top of rally 5 min later FOMO of a run, but as all too often it failed. Set risk too low for paper cut & too high to wait for shake outs. Also didn't wait for morning pattern to establish. Both of those issues an ongoing problems for me. Stopped out. Had held I would have profited.

000

Broker:Webull
$19 Profit
CEILong Stock
MarkP_196

Former spiker Energy Sector. Dipped below VWAP at open then rallied. Markets strong. Biden declared POTUS. Entered on downside of that morning rally, risking LOD. Consolidated until after lunch & ran up. Kept raising stop limit. Stopped out .04c below rally peak. Best trade in a while.

000

Broker:Webull
-$28 Loss
FTEKLong Stock
MarkP_196

EV/Renewable Enrgy sector. 26% gain yesterday. Huge gap up o/n. G&CR play. Entered after double bottom & lower highs on rebound. Held past highs 6 min after entry. Thought it would grind up or run after consolidation, but it failed & I stopped out. (sigh...)

000

Broker:Webull
$30 Profit
IDEXLong Stock
MarkP_196

EV/Financial ABCD today. Entered eod to hold o/n. Webull would not allow pre/market sale. Cheap-ass shit. Set stop at Tuesday's support level. Strong overall market. Price rose above mulit-week high, then failed & I stopped out for 28% gain. Had I sold p/m or in 1st 3 min today (Tues, 23Nov) I would have had a 76% gain.

000

Broker:Webull
$0 Profit
NXTDLong Stock
MarkP_196

Entry comments: Experimental Swing Trade based on Pattern 5 in Daily Chart off recent high of .55c achieved on a 10 g/d run. Mostly failing w/ lower lows the last 2 weeks+. Consolidated ~6 days at .31c. Big g/d yesterday on patent news & BTC running up. Currently red but lower high than recent lows. Gotta hold for at least 2 days as I used 4 shares on Good Faith Purchase from Webull. No stop limit therefore. See what happens

Exit comments: Stayed down all week. Perked up w/ big all around day yesterday. Given yesterday's bull day, today's bull day in all markets, BTC back at new highs today, and Trump acknowledging Biden transition, figured today would be huge for everything. WRONG there. Not bad in many sectors, but EV & BTC-related tickers tanked. Missed HOD in morning. Slow down all a.m. Consolidated after lunch & slow rise. I got out just above entry at EOD.

000

Broker:Webull
$8 Profit
MDGSLong Stock
MarkP_196

Watching for G&CR. It did. Entered ~4EMA@VWAP Risking .10c. Set Sell limt 3x higher than risk. Had to walk away & hit sell limit. Goot out too early. See chart. Still, nice little single.

000

Broker:Webull
-$30 Loss
BKYILong Stock
MarkP_196

RW's RPS Watchlist. Alerted a long position. I joined. He bailed, then I bailed. Following Alerts Of Others…

000

Broker:Webull
$14 Profit
SOLOLong Stock
MarkP_196

Hot sector. Spiker. GD's...Did I mention that? Re-entered on small dip. Got out when I had to leave for physical therapy.

000

Broker:Webull
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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.