
Entry date Nov 12, 2025: Bought 30 shares of CMCT for $10.15. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 11.8x float rotation, 672.35K float, former runner, day 1ner. Goal was $2 spike. Risk/reward was 1:2, $1 downside $2 upside. Exit date Nov 12, 2025: Sold 30 shares of CMCT for $10.58. Gave it time, spiked, couldn’t hold gains sold on a downtrend when the bid and ask went down, kept going down.

Gap and Crap Reversal. -0.03R. Took it long when it was holding the $7.5´s and did a first spike through VWAP, broke to new highs and got to almost $12. Bought on a dip risking $8.5 at first. Sold before the market closed because I did not have cushion. Minimal loss here. It need more volume at the end.
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