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Entry comments: Shouldn't be in this overnight tbh, but it's a FGD OTC with strong volume, hit new 52-week highs, in a hot sector, they also released an SEC filing today as well as a press release last week. They are a lithium mining company which is particularly for EVs. It was up 100% at one point today, should have cut losses when I had the chance, i am currently down $100, but I think this will have a morning spike tomorrow given all the indicators
Exit comments: Thank god. I'm glad I held overnight even though it was a terrible thing to do, but my thesis was right in that all of the indicators lined up for a breakout which finally happened this morning. Scary stock, it made it over the breakout point and I took the profit while I had the chance. Maybe it goes higher, but I won't get greedy especially considering I was just DOWN $100+ roughly 15 minutes ago

Breaking news alerted, I caught it on a dip of the day high, but then it kept going lower. I held because I thought being that it's a low floater that there would be a nice short squeeze or VWAP hold HOD break at the close or after hours, but now it just keeps going down, so I'm not going to risk it, plus there's a lot of overhead resistance. Should have cut losses sooner

I caught the dip pretty nicely but couldn't get executed on the sell. Now it's hovering around where I bought, so I'm out for a small loss on the off chance that this has another leg down. There isn't any news at least that I'm aware of, I was just playing the price action, but should have been focusing on SNPW and BMIX

Out for a small loss to focus on dip buying $KWBT after a huge crash

Entry comments: Made it into the 1s as we head into the close, testing out a small position overnight, hopefully to recover some of my losses. Very strong FGD OTC closing near it's 52w high with a history of multi-day runs, so I'm thinking we're going to see a new 52w high tomorrow. Goal is to sell into the morning spike/gap up
Exit comments: Started to panic and I decided to hold and lucky i did so that I could get out for a small loss. Should have held on a little longer as now it would have been a profitable trade, but with how much that tanked, I didn't want to risk it so I'm glad to get out for the small loss here while I had the chance

Got out too soon, it reached my goals after I sold. I sold so that I could focus on $INIS which I severly underestimated when I first saw it. It didn't look like to me that INUV was going to end up breaking out, but it turns out that I was right and should have held on

Entry comments: Trying a very small, almost negligible position overnight. Strong FGD OTC hitting new 52w highs, strong positive news and closing strong to. Up over 1200%, let's see how far this goes tomorrow morning
Exit comments: Nice gap up this morning, wish I would have held my 40,000 shares from yesterday, would have been so much more today. Now in the 0.07s! Holy crap! Even though it's a small position, I wanted to get out because I got a busy day ahead so I didn't want to risk my small gain. Tried to get out sooner though but having wifi and etrade issues but damn I would be up so much now if I had played correctly.
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