0.3156.2
200.02500.0
Total Profits:
-$72.01
$8 Profit
NBEVLong Stock
Atte

Entry comments: Dip buying morning panic on good earnings. I have been following the stock for a while and that's why was confident to buy the drop, because I knew that it was just over reaction. And my entry was spot on for sure, because got in penny above the morning low!

Exit comments: I was aiming for 3.50's but stock was never able to go up there because seller's in 40's and stock dropped back to 30's. Problems with SureTrader Web platform and I wasn't able to follow the stock tick by tick and decided to just hit it out, because didn't know if it would drop more and how fast I would be able to react to it due to platform issues.

000

Broker:SureTrader
$10 Profit
DTEALong Stock
Atte

Entry comments: Dip bot this going in to Close after it’s impressive rally. Sector super hot and for this one there really was continuing volume and buyers. Pretty confident to buy after such a strong move up because there was continuing volume and not just big spike.

Exit comments: Thought about holding overnight because sector hotness might have legs, but then going in to last minutes there was a seller and seller was not taken out, so decided to play it safe - out with small profit.

010

Broker:SureTrader
-$7 Loss
MRMDLong Stock
Atte

Entry comments: Breakout after afternoon consolidation close to highs. Up on speculation of more states to legalise after midterms now over. Overall sector trading up today. Daily really SUPER! If we close above 5$, then will look to hold overnight.

Exit comments: Stock broke out above 5$ with very nice volume. It hovered above 5$ for a while until it started to drop. I give it a chance but it just started to drop very ugly and I had to hit out and cut losses quickly. Later this would have turned to be great short!

010

Broker:SureTrader
-$10 Loss
MARALong Stock
Atte

Entry comments: Breakout after afternoon consolidation close to highs. No news catalyst, am I forcing a trade here? Got up to 0.86$ (1.5 cents from my entry) and volume was good too - but volume did not continue.

Exit comments: Cut losses quickly when wrong. I was wrong with this setup and trade had only 1,5 cents of upside. I exited when it started to break below consolidation area. No questions asked. This was just failed breakout.

000

Broker:SureTrader
$19 Profit
CVSILong Stock
Atte

Entry comments: Very nice afternoon consolidation close to highs. On daily chart multi-month breakout level not far. Buying the consolidation breakout, that was confirmed with good volume. Next level on daily chart (multi-month level) 6.33$ that needs to get taken out before stock is ready to drive.

Exit comments: Even though very nice volume, multi-month 6.33$ level could not get taken out. I give it a few minutes but volume did not continue - sold 200 shares 6.28$ to lighten up. Then later sold last 100 shares at 6.23$ when it was very clear that volume did not continue. Then of course multi-month level was taken out 15 min before Close and I’m now already out, but it’s ok.

000

Broker:SureTrader
-$138 Loss
FRLFLong Stock
Atte

Entry comments: My first OTC trade. Buying this on afternoon on consolidaton/cup&handle -pattern, after strong drive on Open with volume, retrace down and now back up. Expecting this to break highs on the Close. News catalyst from the morning (company exceeds revenue guidance by 47%).

Exit comments: Stock tanks even though very clear buyer 0.30’s. Down move feels like over reaction and I cannot get out. Got now caught overnight. I broke rule number one, cut losses quickly. I should have just hit it no matter what price, after the buyer dropped. This was now very important lesson.

000

Broker:SureTrader
-$24 Loss
VTVTLong Stock
Atte

Entry comments: Dip buying this on the Open after breakout. I was watching it breaking out and then got Tim alert buying it. Dip bot this at 2.80$. News catalyst Nasdaq listing.

Exit comments: This was just collapsing on me. Very weak bounce attempt despite positive news. This stock is just not strong at all! I also did a mistake trading on the Open. I should concentrate ONLY on afternoon plays/afternoon breakouts leading to possible first green day. Open is just too volatile for me.

000

Broker:SureTrader
$4 Profit
CASILong Stock
Atte

Entry comments: Buying this afternoon breakout after consolidation. Stock had news couple of days ago (China contract) and now was ready to break on the daily. Market getting lift in to the close.

Exit comments: Stock had only 400k shares daily volume traded and volume was not picking up after my entry - even on new highs of the day. I was not comfortable with it with so little volume/trading in it, got out with small gain. I have to adjust my scans so that I don’t pick these low volume stocks. Need to have at least 500k volume per day.

000

Broker:SureTrader
$66 Profit
PXSLong Stock
Atte

Entry comments: Buying this on a breakout after intraday-consolidation on afternoon. Overall shipping stocks strong. I got in to this trade because PXS’s daily pattern had changed. Every time on second day after the first day's spike, the stock has got smacked down. Today after yesterday's spike it was not getting smacked down - it was holding close to highs.

Exit comments: This was really easy trade and +11% profit. After my exit PXS traded all the way up to 2.45$ (+25%) so I exited too early. But on the flip side of the coin, market overall was very weak, so it was ok to just take safe profits.

000

Broker:SureTrader
$0 Loss
OHGILong Stock
Atte

Entry comments: Buying this on first green day after strong open and now volume picking up on the close and we’re closing strong close to highs. Stock was on Tim’s watchlist 7 days ago. Not seeing any news what is causing this volume and spike. Goal is to sell in 0.42’s tomorrow.

Exit comments: Market tanking and this is not popping up. Premarket spike up to 0.36$ but fading after that. Playing it safe and out break even.

000

Broker:SureTrader
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Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.