
ENTRY: DD1, up ong 120%, erg mooie chart met volle doji candle, goede mktcap en float en weinig cash. A+ doji imo. Ik short 3.28, close 3.30, met iets meer size dan normaal. EXIT: covered einde dag 3.82 voor 16% loss. Hele erge tegenvaller. Zelfs bijna max loss gehit in pm. LES: was wellicht te goede setup en zaten er veel shorts in. Sund.

Entry date Apr 17, 2026: Bought 100 shares of MYSE for $3.98. Pivot point cross play, bought in pre-market when is crossed the pivot/whole $4 key resistance level, day 2, big % gainer with new news, 2.6x float rotation, 3.84M float, former/current runner. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Apr 17, 2026: Sold 100 shares of MYSE for $4.17. Gave it some time, couldn’t really squeeze, sold for small gains, can’t be stubborn and hold.
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