Recent big % gainer that gapped up over 45% on Monday. Tuesday had a first red day. Looking for a morning panic dip buy. Price dropped over 17% in the first 10 minutes, nice panic / dip. Bought 15 shares @ $2.10 Sold 10 @ $2.21 on first failed VWAP break. Sold last 5 @ failed intraday resistance break @ $2.31.
PM Gapper on 8K release. Practiced scaling into and out of my position. Bought 70 shares @ 1.66 (slightly too early), 10 shares @ 1.57. Sold first 40 @ 1.71, 20 @ 1.74, last 20 @ 1.86. Locked in over 6% in a few minutes. **Great trade overall. Bought too early, but took profits along the way. Holding too long has been my problem lately, so this felt great.**
PM gapper, news of a sister brand's colab deal. Bought PM to test PM orders. 45 shares. On open, dip then bounce that broke PM high. Made HOD $1.25. Sold 25 shares at $1.17 for 11%+. Held 20 shares. Price retested $1.20, failed. I thought it was consolidating at PM High level to then try upwards again. Sold last 20 shares at $1.05 which was my entry point. **Green trade. Figured out that I can execute AH/PM orders. Trade hypothesis was decent. However, poor discipline.
Strong First Green Day. Pre-market news about sales (shaky news). Pre-market high $0.43. Price spiked at open as volume came in. Bought 200 shares @ $0.445. Almost sold at big pullback on the 1M. Last of the spike to HOD $0.48. Sold 200 shares @ $0.471. Was hoping for a bigger morning breakout. Great exit as price faded from high all morning.
Recent Runner with a nice First Green Day after consolidation. $1.50 was the last green day's close (resistance). $1.74 was last green day's HOD (resistance #2). Price broke the $1.50 level pre-market. Opened strong breaking $1.74. HOD is $1.82. Waited for re-test of HOD, bought 15 shares @ $1.86. Held to $2.05 around pullback. Sold much too early, as TRIL squeezed hard.
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