
Entry: Bought on positive SeekingAlpha report, daily break-out and doubled volume spike. Targeting 10%+ profit. Exit: Held too long. During the quick rise, I got greedy and cancelled my 10% sell order (which would've have executed at 0.37). After missing, I decided to hold over night in hopes (yes, the non-strategy) of a morning spike to sell into. I put in a sell order for 0.36 which I missed by less than a penny. I decided to just cut losses after a 3% loss.
Newsletters:TimChallengeTimAlerts
Broker:ETrade
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| Date | Price | |
|---|---|---|
| Entry | 5/31/2016 | 0.3304 |
| Exit | 6/2/2016 | 0.3199 |
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- Position Size4,000
- Percentage-3.18%
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