
Best worst trade so far. bought 4.52 on positive news and great chart pattern. I held through the 4.79 high instead of selling had to set a stop loss at 4.09 or when highs were 4.65-4.70 at 4.30-4.40. lessons: 1) do NOT hold through earning, buy earlier and sell on the pre-release hype 2) be disciplined in putting stop losses, can't stress that enough 3) be happy with SAFE earnings instead of hoping that something will happen after the earnings.
Newsletters:TimAlerts
Broker:OptionsHouse
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| Date | Price | |
|---|---|---|
| Entry | 7/14/2014 | 4.52 |
| Exit | 7/18/2014 | 3.68 |
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