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Entered this stock was it was getting closer to making a multimonth breakout so bought in anticipation especially as it was being hyped in anticipation of upcoming news and going into the weekend. Bought this with clear risk/reward and let the stock play out and swinged it as it close near day highs and b/o as anticipated for a gap up. Stock did exactly and took profits without getting greedy even thought i thought it could run more. No regrets, best trade so far.

1. Bought this former runner as it was holding near highs in morning on second day, however my risk/reward was not great and stock looked toppy as it had been running all morning so decided to take small profits and get out. 2. Re-entered closer to 2pm as stock dipped and consolidated all afternoon, was risking VWAP .246, stock went up a little but not by much and could not breakout out to new day highs, so cut loss as it seemed week.

Bought this choppy/speculative stock as it was holding over former highs and double topped that the 52wk breakout level, while risky as stock is up solely on pump/dump news it was consolidating nicely near former highs so gave it a shot with tight risk/reward. Cut loss when it was not moving as expected. Risk area 1.85.
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