0.01623.1
25.030000.0
Total Profits:
-$1,175.17
$20 Profit
ABMLLong Stock
frsantostrades

dip bought first green day after going from 1s to 1.4s on a dip @ 1.21 risking 1.15s where a little consolidation was. major support was in the 1s-1.05s. my goal was to make 10 % but did not due to of stock keep dropping and dont regret it. still learning.

000

-$18 Loss
DSCRLong Stock
frsantostrades

got into the trade because FOMO. started as gap up open, saw down trending and got in on a dip @ 0.0191 risking 0.0180. i did not see the sotck up trending again and got out. my mistake was going in the middle of support and resistance level.

000

-$20 Loss
RGBPLong Stock
frsantostrades

morning dip buy play. going into trade i did not have any risk goal, just reward. got panic for the stock to keep going down and got out of the trade. later the stock went up. need to have a plan risk/reward before executing a trade.

000

-$19 Loss
CLIRLong Stock
000

Broker:ETrade
-$86 Loss
CLSILong Stock
frsantostrades

Entry comments: dip bought this recent runner which found multi-day support in the 0.0745s. goal is to sell in the high 0.09s and risking the 0.0745s support level.

Exit comments: did not get any bounce intead it had a panic. was trying to get out in the low 0.070s but i wasnt getting executed.

000

Broker:ETrade
-$22 Loss
VIVELong Stock
frsantostrades

Entry comments: dip bought this pre-market supernova that tank all the way to the low 7s which there is some support from pre-market. goal is to sell in the high 7s, risk is if it breaks the 7 whole number support level.

Exit comments: exited for small loss. what made me sell was it did go more lower than my risk level and touched yesterdays resistance/support level, did not break down and started going up again. which the high 5s and 6 was the real support level i needed to risk of and not the 7s, got scared of loosing more money and got out in the 6.70s for small loss. now the stock is above the 8s, not trying to hold and hope and trying to stick to my plan.

000

Broker:ETrade
-$2 Loss
YUMALong Stock
frsantostrades

Entry comments: re-bought this stock from early today which i bought too early this morning and cut losses quickly because i was risking to 10 cents and went under my risk, but after that touched intraday and yesterdays support and spiked all the way to the highs 4s. goal is to sell in the low 5s which theres resistance from last month and risk is to sell if it breaks the 4.50 support level.

Exit comments: is having a hard time to breakout the intraday high at 4.75 so i am out and not risking to loose more, because this is a low float stock and it could tank heavily.

1
000

Broker:ETrade
-$17 Loss
YUMALong Stock
frsantostrades

Entry comments: dip bought this low float former runner after morning spike in consolidation between 3.50s and 3.75s goal is to make 50 cents and risking 5-10 cents

Exit comments: sold after breaking down my risk level which went more under because of its low float. i need to stop buying low floats and have a plan and identified where is the support and resistance level, and jumped to this trade really early and not giving time to come down more close to the resistance becomes support level from yesterdays and todays pre-market to risk of.

000

Broker:ETrade
$0 Loss
TBSSLong Stock
frsantostrades

Entry comments: dip bought this otc first green day big % gainer with big volume. otcs are running lately. goal is to overnight hold and sell into a gap up morning spike for a multi-month breakout on tuesday, and risk is to sell if it breaks down the 0.015 whole number level. this has become my favorite overnight hold pattern where i buy the stock closing at it highs and near multi-day,week,month, or year resistance level for potential breakout.

Exit comments: sold to break even because is liquidity, but after selling they were some prints going out at 18 which ive could of get out there. i will try to trade more liquid stocks.

000

Broker:ETrade
$14 Profit
RLBYLong Stock
frsantostrades

Entry comments: bought this former runner before market close near its high for an overnight hold play for potential multi-day breakout tomorrow morning. goal is to sell into the morning spike.

Exit comments: was long 1000 shares but due to its liquidity i put an order to sell all my shares and i only got executed 725 and the rest was executed a 0.60 275 shares. reason i sold was the wasnt any liquidity which i was not patient. couple minutes later little volume came along. but i will be focusing on stocks that has more liquidity to play . it did have the breakout i was expecting this morning.

000

Broker:ETrade
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Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.