
Trading goal is to gain 10% - 30%. Risk 2% - 5%. Went to a day high at 1.80 in pre-market, but ended pre-market at 1.22. Set risk level at 1.12. Set breakout level at 1.29. Did a large position size of 153 shares. Got in at 1.335 once stock showed proof of breakout. Stock halted then broke out at 1.64 days high. Before I was able to take gains, stock halted again and was not able to take a profit from spike. Waited for the bounce off halt, but failed. Got out at 1.11.
Broker:ETrade
| Date | Price | |
|---|---|---|
| Entry | 10/20/2020 | 1.335 |
| Exit | 10/20/2020 | 1.11 |
- Total Views61
- Position Size153
- Percentage-16.85%
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