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Entry- bought in on this morning spiker. it failed and then fallout. Exit- I attempted to cover my whole position , but then accidentally purchased more while it was falling. ultimately I was able to cover, but not before my lack of attention to detail had already stung me. extremely frustrating trade.

Entry- I bought in trying to capitalize on a continued spike into close, but it didn't break the highs Exit- I held over night for a gap up. In pre-market the stock made it as high as $.1770, but I was not awake at 0400hrs so I waited for the open and the stock gapped down. I held for a potential bounce but I finally covered as it looked to continue to down trend. hind sight I could've held for the 1100am bounce play, which happened and I could've sold for break even.

Entry- I got in early a/n as it was holding this level through mid day, within minutes of getting in cracked support and instead of getting out I held it hoping it would regain it level. When it did not and broke support again, I didn't not follow Rule #1. and it const me big time. Exit- Failed to follow Rule #1. outcome speaks for itself.

Entry- took off our of the gates from $5.50 area. Pulled back and consolidated in the $6.30-$6.50 area for about 12 mins. I got in at $6.43 as it showed strength in retesting the morning highs. Exit- The stock peaked at $7.91, and I should have covered in the $7.80's/$7.90's but I played it aggressively and waited to see if it was going to pullback and continue running. I got out after it failed to get back to the HOD and moments before it fell out completely and down trended all day.
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