
this is a recent multi day runner June for 3 days, $4-$6 runner, now at $2.50 with some small positive news, I want to hold this over night and sell into a AM spike, I violated my risk level and held and hoped and lost another $.20 / share, 1. I could have held off buying until a bounce 2. maybe I should not have bought heading into consolidation mid-day, 3. it actually did EXACTLY the same format as it did on the last spike - it peaked around 11-12 then fell the rest of the day,
Broker:ETrade
| Date | Price | |
|---|---|---|
| Entry | 8/19/2020 | 2.67 |
| Exit | 8/19/2020 | 2.38 |
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