0.011437.74
40125000
Total Profits:
$9,394.11
$50 Profit
KALYLong Stock
nfuniciello

Bought this in my TD account. Goal here was for a scalp trade into the close. Bought the HOD breakout and plan was to sell on the .016 round number breakout that would of been quick. Got stuffed there by big seller so decided to just get out since my TD sucks with morning executions, especially with low priced junk like this. Just trying to protect myself.

000

($11) Loss
HIPHLong Stock
nfuniciello

Tried to buy 20k shares of this strong 1st green day into the close when it seemed like it would close strong. Goal is to sell in mid .08's or .09. Luckily only got 10k shares filled as this seemed very weak unable to break .08 into the close. Decided to get out bc it was up so much and I felt like it just did not have the power to go higher and will most likely pullback. Can still gap and I am wrong, but don't want to be in it to find out.

000

Broker:ETrade
nfuniciello

Entry comments: 1st green day on a former runner with solid volume. Not my typical play, but January effect in play and capable of running for 2+ days. Given the low risk and the fact tomorrow is Friday I think this has a chance. looking to make 5-10%.

Exit comments: Got a slight gap up p/m halfway to my goals and decided to get out for my 5% profits. I did not give it time because I do not trust this biotech or NASDAQ's for gap ups in this market environment. I took what the market gave me this morning. This might go higher when the market opens, but I do not mind since my conservative goals were hit.

000

$18 Profit
CANNLong Stock
nfuniciello

Entry comments: Bought some of this 1st green day weed stock. Liked this one best bc of ability to run in the past for multiple days and it was the best looking chart w/ volume. Missed it early bc I was out, but noticed it when it popped on volume at 3:30. Had to make the trade mobile so to lower risk I bought small position right into the close. Goal break/retest HOD. Risk any weak g/r or gap down.

Exit comments: Was scared about the overall market being weak after the AAPL news, and also this stock barley gapped up so I wanted to play it EXTRA safe. Got out asap and basically was break-even after commissions. I would rather be safe than speculative in this market and just wait for another setup that is better while preserving my capital. Stock just went g/r as I type so good idea to sell it looks like. Always protect and play it safe.

000

Broker:ETrade
nfuniciello

Entry comments: Bought this stock having solid 1st green day that is a former runner with volume. Same type of pump play like PURA from last week. I think this should close strong and offer a solid gap up to sell into. Also markets showing strength so thats a good sign as well.

Exit comments: No big gap up. Couldn't breaks yesterday's HOD so exiting safely with small gain. Solid setup just couldn't spike today. Alot of these 1st green days tend to morning panic out of the gate so I am always ready to exit quickly in the morning.

000

Broker:ETrade
nfuniciello

Entry comments: Bought small position of this former runner spiking on revenue/earnings news. Nice spike and volume, held up all day so I bought into the close. Strong close looking for gap up and morning spike.

Exit comments: Solid gap up that hit my conservative goals. In this market I will take that every single time. Solid nearly 12% made o/n. This might head higher today, but for me I took the predictable part of the move and moving on to the next play.

000

Broker:ETrade
($63) Loss
NHPILong Stock
nfuniciello

Entry comments: Bought this nice 1st green day pattern on a recent multimonth winner that is now beaten down off it's highs. Small position on this pure pattern play. Low priced stock so not 100% sure if this will be a winner, but hoping for a gap up and morning spike ideally. Goal is .013-.015 and risk is .0105. Will get out very quickly if things don't go my way.

Exit comments: Solid wall at .012 so got out as quickly as I could. Tough to get a fill and tough to play these low priced patterns as well. Will stay away from them for now unless there are some true signs that they can spike.

000

Broker:ETrade
$0 Loss
NHPILong Stock
nfuniciello

Entry- Bought small position of this pump that cannot panic. Might lead to a nice morning spike. Exit- Felt like the spike was weak with weak volume and didn't want to lose my gains from earlier so got out for break even.

000

Broker:ETrade
nfuniciello

Entry comments: Small position of this former runner having a 1st green day with news. Big volume and solid breakout into the close. Looking for 10-15% on morning gap up/spike ideally. These low priced weed stocks spiking for 2-3 days seems to be the hot trend right now which is another main reason why I played this one.

Exit comments: Nice gap up. Hit my goals so I got out with solid profit. Might spike more, but not here to stay in this stock. Was here for the specific gap up and got it taking solid gains.

000

Broker:ETrade
$62 Profit
HMPQLong Stock
nfuniciello

Entry comments: Been watching this stock all day. Nice strong 1st green day with good price action and volume. Solid breakout over the .0165 region. Saw tim bought this so didnt want to chase the alert. I waited for the pullback and saw that this started to base around .0163, decided to buy at .0165 right into the close. Looking for a nice gap up and morning spike ideally. Similar to recent penny weed spiker HIPH ideally.

Exit comments: Small gap up on my small position. Wanted to play the pattern here and not go too big because this is a speculative setup. Good to get the gap up, but it seems like these 1st green days are still morning panicking right away.

000

Broker:ETrade
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