
SPHL was number one on my watch list. It had 2 quiet days so potential for multiday b/o. Closed above previous day close and was coiling just under VWAP. Potential range $5.92 to $6.90. Entry was Opening range b/o at $6.60 risking $0.66 and 55 shares (1% of account). Halted 2x got out once it achieved R/R 1:3 actual 3.45R. Good Trade

Entry comments: Looking like fireworks after hours, picked up a few more to see if it can squeeze over 20 again.
Exit comments: Disaster. I'm going into timeout. I kept thinking it could bounce and it just never did. Eventually went all the way down to 4 but I should have been cutting my losses in the low 18's, 17's at the lowest. Once it got below 17 I just froze I guess. I can't trust myself, must use stop losses from now on.

ENTRY: SRD, stock down ong -50% gister. Short 5.40, is ook open. Door resultaat van nieuwe data mn strategie aangepast. Risico is nu wat omlaag. EXIT: kwam mooi naar beneden maar uiteindelijk terug en ik cover voor breakeven op 5.41. LES: 1e trade na een hele maand niet getrade te hebben. Strategieën lijken weer te werken dus we gaan het gewoon weer proberen. Ben trouwens gedownsized van 20k size naar 12,5k want heb geld van mn account gehaald.
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