
ENTRY: DD1, up ong 70%, mooie volle doji candle, weinig cash en goede share structure. Ik short iets meer dan normaal op 3.90. Close was 3.99 dus beetje kut maar boeie. EXIT: flinke gapdown en gaat daarna vrijwel zijwaarts maar eindigt bij de lows. Cover op 3.10. LES: Had nog geluk met mn cover want kort daarna ging het wat omhoog en sloot het op 3.20. Nu zegt DT dat het 12 months cash heeft maar kon herinneren dat het veel minder was. Miss door offering die er was in PM met 3.25 strikeprice.

Small M Top in pre. Tempted to enter there but was too fearful. Instead, I waited until a -180 closing below premarket consolidation at 9:45am. Entry was good. Goal was $5.08. In hindsight ideally closer to $5.29. Easy to manage position after entry. Sized in just under $100 risk. Wanted to get closer to $200. I ended up adding and getting close to $150 risk. Sold 50 shares avg 3.81 and holding the remaining 25 overnight. Stopped out remaining 25 shares over morning consolidation today at 3.27
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