Easy to cancel orders kinda slow to execute buys and decent with the sells. Entry .2159 in anticipation of a spike out of consolidation. Locked some into strength. Risk .214. Sold half at .22 then added it back at .22 sold half .225 then sold more as it went down. Was going to hold rest but moved my risk up to .2184 shouldve left risk at .214 I think. Now its back to .2201 and .2214
Bought the wrong stock. Meant to get the trigger on ILUS but my kid woke up crying and crawling all over me and I forgot to change my buying thing to ILUS but luckily I got out for B/E. I was up higher on it but It took me a few to handle him and realize I didn't get the right ticker. I wanted ILUS. So many issues today that I'm becoming hesitant with trading. Lol
Spike, consolidation, spike. Risk was .0097 but I didnt respect it. I thought the ramp would hold half the spike on the back side but pulled back to .0099 n I saw it touch .0098 but big wall of buyers yet I anticipated it cracking. It held and it now. 0132 and climbing on a 2nd big green day. #1 goal this month is to wait for risk.
Revenge trade. Need to get back to being disciplined. Haven't been getting good fills today so shouldve taken it as a clue. Couldnt get executed on sells so bigger than I wanted loss my risk was .06 but no fills. Shouldve slapped further under the bid. Total loss = 43.89 today. So far red week now. And red month. Back to only 1 setup. For some reason I'm tempted into venturing out. Needs to stop.
Commissions are annoying. Took this with eturd. SCS, 1000k bidders propped it up and pushed. volume/momentum and I fell for it. Got in and didn't sell everything soon enough into .044 strength. Shouldve just gotten out at .0438 like I saw others doing but I didn't want to scale out n let the pattern work so I held everything since commissions cost me to scale n I still lose. Ended up with partial fill at .0438 anyways. Waited til risk cracked. Loss of mostly commissions. Total loss = 23.89
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