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Entry comments: Entering at what I am thinking is the low point of a morning panic.
Exit comments: I failed to execute a sell at small loss when the trade didn't go my way and then the morning panic went more...failed to restrain the inner gambler in me and got caught by the press release stating a broadcast was to occur in the future.
Entry comments: Recent multiday runner with an enormous panic this morning. Buying at a dip planning because I think that most that are in are staying in at this point. This will prop up the stock for a little bit to make a gain. Planning to make 10% to 20%.
Exit comments: Getting close to midday, wasn't moving as fast as I wanted it to so I decided to take a little profit.
Entry comments: Noticed this ticker on my scan this morning. Has momentum from the past day, so I'm holding overnight to be in early for the morning spike.
Exit comments: The momentum I jumped into did not last. The morning spike I was waiting for never happened, although the stock stayed in my risk tolerance for a few days. Today it fell below my risk level and I was able to sell.
Entry comments: Dip buy on second green day with large volume.
Exit comments: After I bought, I watched it go up a little bit, then it went down into the close and I didn't cut my losses quickly. I watched it completely crash to 0.0432 the next day and was bummed. Noticed there wasn't any catalyst too late. The third day it had a slight morning spike, still no catalyst though, so now it's the fourth day and I'm cutting losses now. I should have cut my losses the first day when it failed to breakout past the HOD.
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