
ENTRY: NP, is SRD maar opent onder 0.65 en heb daar geen stats van. Maar srd's werken goed nu, gister stock down -75% dus ik short op 0.58. Open is 0.60, slechte entry. EXIT: stock panicked ff flink maar komt sterk terug en aan het einde vd dag cover ik voor een max loss van -26%. LES: Was maar kleine size want kon maar 7500 shorten maar alsnog voelt het onnodig. Achja sund, zit deze week gewoon iets minder mee. Heb srd's onder 0.65 goed zien werken dus wou het erop wagen.

Trying a short on this china pump play that has been grinding up over the past few months. Had a big spike clearout going r/g earlrier in the morning then came back red and went sideways. Shorted the consolidation break, sized for big slippage if it accidentally goes against me. Ended up down halt panicking multiple times. Covered most just over $1 when it was trying to bounce then rest at $0.60 just to relax.
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