IN9:email@example.com OUT9:firstname.lastname@example.org Day 2 continuation play B/O from yesterdays run. Once I seen this gapping up premarket I was interested. I wanted to be in on a dip looking to break 7 and sell in mid 7s as this has room to run. I got in on the dip and after a minuet the bottom fell out. I tried to exit at 6.80 but had a wrong order in and it got rejected. chased exit and covered dead bottom.. frustrating loss here.. Need to use starters on riskier plays like this a few mins after open..
IN@10:07 500 OUT@11:43-200 OUT@12:53-300 Shorted this pos on it failing day 2/ slowly making lower highs and not holding up. This always spikes and fails so i gave it a shot. My entry wasent the best but i had a clear risk that never got breached @ 1.12. Goal was to see if it could break 1 and cover @ support @.95. Got to impatent as this moved so slow and took small gains. later it got down to my target. Need to be more patent and only focus on THE BEST SET UPS.
IN@9:41 OUT@9:43 Recent earnings winner. Yesterday this had a multiday B/O, N52wk high on high volume and closed strong. No overhead resistance/@ all time highs. This morning it broke yesterdays high and I wanted to get long. Got long on a dip after HOD break @8.42 risking .10, looking to continue on ward to new highs. Was completely wrong, got stopped out and this sold off the rest of the day and closed red. Great example of why a plan is so important and price action is KEY.
IN@10:email@example.com OUT@10:firstname.lastname@example.org OUT@11:email@example.com Got long @ the bottom of channel risking off 2.07 looking for HOD test/break. Had to much size so I sold some a few mins after entry. Soon after we got the HOD test and I wanted to lock some profit but already had my one sell. Dident want to go over PDT. Decided to hold for the break, got stuffed and lower high. Got out. I traded this great, just to much size or I would of locked in some @ HOD test.. category-Dip buy in anticipation for HOD break
IN@10:24 OUT 100@10:41 OUT 300@10:57 Got long after HOD break and multi day break on this supernova risking roughly .15. My entry wasn't the best as I chased slightly. Soon after my entry we had a slight drop then channeling action. Then a weak HOD break, I down sized after that. Then after a pretty much perfect 3/4top so I got out for a break even. Never squeezed like I was expecting. Dident want to over stay plus big 100k seller was holding this down.
IN@9:42 OUT@9:44 2nd red day on an over extension, gapped down. Got short with a very tight risk and got stopped out. Soon after we got the move I was expecting. Need to have a better plan and proper risk levels when playing these. Could of been a nice gain but my plan was flawed. At least I was on the right track.
IN@9:47 10.50 300 shares OUT@9:58 10.68 100 shares OUT@10:07 10.81 200 shares on right track here with the multi month B/O over $10.00- dident let this winner run as much due to earlier XNET loss. I was still fickled as there was only a 10 min gap in-between the 2 trades.I just wanted to break even on the day and pocket a little. That's exactly what I did and missed out on a much bigger move. Good entry, kinda random risk level set @10.40 but that's where I felt chart would still be intac
IN@9:32 300 firstname.lastname@example.org OUT@9:34 100 email@example.com OUT@9:39 200 firstname.lastname@example.org Got long a bit to early looking for big morning squeeze to new highs. Bad entry/chased. Took some off to play it safe for .10gain. Let rest of position ride to long.. Bad trade. Good potential reward but LOTS of risk.. Bit the bullet on this one. Need to have clearer plan with specific ENTRY EXIT AND STOP levels already established ESPICALLY before trading a choppy stock like this
IN@11:27 OUT@1:37 Was looking for LOD break risking .4 cents. Thought I had it this time and was patient but bid kept soaking.. Stuck it out until my risk was hit.. Shouldn't of been so focused on this play as it was not a very good set up.. 3 times and im out.. NEED TO FOCUS ON BEST PLAYS.