
FGD continuation play. Q3 Revenue growth projections. Price action advance and held AH and Pre-mkt 8/12. Price action spiked at the open, faded slightly, and spiked again. Second spike ended in a blow off top that was followed by a classic volume wash. Entered early on a volume wash at with a 4.15 risk. Price advanced through early morning encountering Oracle resistance at 4.88. Sold first half at 4.889 and second half as price pulled back.

Day. Entered this on a VWAP Hold HOD& selling into the gap-up/run-up on this ER winner. Started sizing EOD w/50@3.83, 50@3.85 & continued as it stayed near this LVL which was HOD or B/O of HOD. 50@3.85 & 50@3.87; av 3.85, risk 3.36, TGT 4.87+, but exiting on spike/gap-up. Started exiting during MS & after consolidation; 1st 100@4.14, 2d 50@4.24, last 50@4.29; av 4.20. Great trade, but nerves made me sell early because I'm not good @ MS.
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