
Entry comments: Buying this big potential wedge break that can trigger 0.004. Getting in early with a starter position with the idea to add later with more confirmation. Risk is 0.0025. Goal is to close well above my entry for a swing.
Exit comments: Tried moving but never got enough volume so sold into the close. Already took 2 paper cuts on it. Probably best will be waiting for the real trigger on it. (I sold 50k at 0.0026 and 50k at 0.0025, don't know why Fidelity doesn't show first sell)

Entry comments: Buying this nice potential multiday breakout into a nice little 0.0031 intradaily trigger break. Taking a starter, so will look to add later. Risk is 0.0028. Goal is 0.0039 breakout. Update: added very small size also at 0.0031 after it pushed up and dipped.
Exit comments: Accidenly sold 30k at 0.00315, so then immediately bought them back at 0.0031, which kinda messed up the numbers. Was still holing my position with 0.0028 risk, but it just has too many huge sellers who don't let the stock move up. Sold right at the close for a small loss. Not ideal setup.
Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.






