
ENTRY: DD1, up ong 100%. Hogere mktcap dus verwacht niet veel. Maar is wel up 100% dus kan ver omlaag komen. ik stap in iets onder 9 maar per ongeluk met mn paper account getrade super dom. Ik short opnieuw en nu met mn echte account op 9. Nog beter entry gekregen met geluk. EXIT: Cover 8.43 voor 6% gain. LES: had een kleine loss of win verwacht dus prima. Had in dit geval wel beter tot de close kunnen houden want die was op 8 maar boeie.

Entry date Oct 20, 2025: Bought 100 shares of REPL for $10.02. DNR play, morning buy on the rip when it broke HOD after a long dip-&-consolidation at the open, big % gainer with news, 1.6x float rotation, 48.78M float, former runner, day 1ner. Goal was .50¢ spike. Risk/reward was 1:2, .25¢ downside .50¢ upside. Exit date Oct 20, 2025: Sold 100 shares of REPL for a $10.06 average. Was spiking nicely, started struggling, dipped fast, sold for tiny profits due to price action/momentum change.

My pre market trade on Schwab, saw it poped with strength and just played the price action, didnt over stayed my welcome.
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