
I got in this trade because it had spiked to OTC #1 Biggest % Gainer on merger PR & is a 4-time former runner since 3/22/23. Dip bought 7/17 9:01 $0.011 12k 29% off 8:32 $0.0155 HOD & just above 7/16 $0.0104 close. Price went sideways on low volume max 7/25 $0.0119. Added 9/9 13:57 $0.007 12k. Wall on $0.01 Ask so got out $0.0099 9/13 & 9/16.

Ugh this is a bit frustrating, I shook myself out of this one because I knew it could be scary volatile. My entry isn't especially great but I was expecting a .20 test. It got the .1950s and hit a wall. I sold and it dropped to .19 before bouncing and going to .22. What a difference in my day that would have been.

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 10:37 $0.1061 1.6k 53% off 9:08 $0.226 HOD using a pre-set Limit Buy set at $0.113. This happened while I was out running Christmas errands with my wife. Checked the Fidelity app ~11:30 saw I was in & tried to get out but I'm not good with the app. Sold 11:32 $0.1395 365, 11:40 $0.137 300, & when I got back home 13:28 $0.0925 935 shares.

Yet again... one of my biggest losses due to no fill. Panic dip and bought turn. Saw it starting to weaken and placed sell immediately, BEFORE it turned back down since I didn't trust it to begin with. Filled TONS of orders above my ask and at my ask but never gave me a fucking share. I should have EASILY been executed. Should have been a $10-$15 profit instead of a $70 loss.
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