
ENTRY: DD1, was up omdat usa oil runt door oorlog Israel - Iran. up on 55%, weinig cash. Vind doji te goed om te negeren. Ik neem het risico en short over het weekend. short 2.23. EXIT: Bijna uitgestopt in PM door de verslechterede situatie met de oorlog maar met wat geluk raakt het niet mijn stopprijs en rest van de dag gedaald. Cover op 1.72 voor 23% win. LES: prima trade en goed aan de setup gehouden ondanks het nieuws al is dit wel extra risky.

I jumped right into this big % gainer in the pre-market to make a quick buck. Goal was to sell @2.75. Ugh! I'm repeatedly hoping these stocks that are trading under VWAP to make a comeback! THAT'S NOT A STRATEGY!!! It went all the way down to 2.32 while consolidating in the 2.30s Could have, should have sold @2.75 around 8:11 am, right before the open, but like an idiot, it's 8:50 am and I grinded this thing out until it rallied and I sold into the HOD of 2.75!
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