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SSS score was 90, the stock is a former runner, went crazy PM so I thought I'll ride the wave this time. my entry level was shit, it was on high of the curve. Risk level was 3.80, didn’t respect that level as it fell the 1st ten mins of the day below it, but I waited, as sometimes throughout the day it spikes to PM levels, at some point i felt my plan is ineffective so i exited at 3.65. take that loss and move on

SSS score was 90, former runner that went 500% up at some point, PR news on partnership with a radio station, stock hit the 3.60 on Friday once news were out, PM today it hit the 3.70. what a mistake, I exiited too early, stock closed at 4.23 on 16/04 I just couldnt wait and i wanted to take position on other stocks like CGIX and I, i eventually took on CGIX.

SSS score was 79, no shorts available so I went long, noticed it was up 17% earnings winner and hovering around its HOD, former runner, I bought at HOD with risk level of 2.09, went all the way to 2.59 then back all the way to 2.09 then bounced up and down for a bit till the power hour, i sold half at 2.34 to lock some green, and at PH sold the rest at 2.73. last PDT, will be studying the next few days. but good job, good trade, stock is low flow 7M, and Nano Cap $25M

entered $PTI again after the reversal of the trend confirmed, it hit 7.39 HOD then fell back to 7.27 original resistance then broke through to 7, waited all day till a fade took place to add to my position, swinging the trade as one PDT left. I exited at PM beore it pushed again on 14/03

SSS score was 75, great setup for a long, former runner, I watched it long but didn’t take action, and when I did, I missed entry by a few cents. So I waited, my entry was way out there, the orginal run was 1.90 where it held its PM level and didn’t slip, then went to 2.17 and held there also. my entry was late, it spiked to 2.40 so i shouldve taken it, but i waited on the plan it should hit 3$, micro cap and low float, i thought it can run, but didnt.
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