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Again, a useless trade in terms of profit, but invaluable in term of KNOWLEDGE. I am learning slowly, but consistently, which is what matters (in my opinion). In this case I didn't want to keep the short position overnight, thought it hold pretty well support before the market close, and it's $SORL, which was an earnings winner a week ago. 2.11% this is the pathetic profit percentage.

This was my worse trade by far in terms of loss. And it was because I got ahead of myself using A LARGER than usual share size (getting excited). In terms of discipline it was perfect, got in when the breakout occurred, a few cents later just in case it failed, but it still was a whipsaw (throwback). I exited at the nearest support level, in terms of cents/share risk level it looks like a lot, as it's like 80c/share, but I lost less than 3.5% of my account
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