
ENTRY: DD1, up ong 100%, volle doji candle alleen oil dus spannend door iran-israel war. Maar USEG was ook oil dus ik blijf bij mn setups en negeer news. Short 1.91. EXIT: binnen 3 min gecoverd voor max loss op 3.66. LES: snelste max loss op een doji ooit. Was ff eng want was tussendoor bezig met OP omdat ik die per ongeluk had gelongd ipv geshort dus stresste hm ff. Moest 3 trades coveren en in 3 nieuwe stappen dus ging veel mis. Wel goed dat je gewoon gelijk coverde. Beetje pech gehad.

Entry date Jun 16, 2025: Bought 10 shares of DWSN for $11.19. RCT play, pre-market buy when it hit the top of the first red candle, big % gainer with news, 1x float rotation, 6.56M float, day 1ner. Goal was $4 spike. Risk/reward was 1:2, $2 downside $4 upside. Exit date Jun 16, 2025: Sold 10 shares of DWSN for $9.02. Did not hold spike, had a higher risk level but very small size so I was able to adjust, cut losses at new risk level.

Stupid greed got me on front (buy) and then on LOSS>> Thought based on PM open and run to 15 this would have been stronger than it was. Saw market open lower, which is sometimes good, then when bottomed at 3.56 w a Signal at 5.57, it started up. I waited to verify comeback was legit, and bought TOO EARLY at 4.79, next 33 seconds later it tanked. Put long stop loss under next resistance, thinking I could trick it to return to uptrend, > it tricked me into LOSS. Trading.!!
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