Filters (0 applied)

Entry date Oct 29, 2025: Bought 100 shares of ERNA for $2.34. DNR play, bought the rip after 9:45am ET when it hit the oracle signal after a dip & long consolidation, big % gainer with news, 52.6x float rotation, 2.09M float, former spiker. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Oct 29, 2025: Sold 100 shares of ERNA for $2.52. Squeezed, kept chopping around, sold as it didn’t continue a full squeeze and started dipping, when in doubt get out!

Entry date Oct 29, 2025: Bought 100 shares of ERNA for $2.01. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 19.1x float rotation, 2.09M float, former spiker. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Oct 29, 2025: Sold 100 shares of ERNA for $2.12. Spiked, had trouble breaking M/R several times, sold on downtrend for small profits.

Entry date Oct 29, 2025: Bought 150 shares of PPBT for $1.16. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 37x float rotation, 2.43M float, former runner, day 1ner. Goal was .40¢ spike. Risk/reward was 1:2, .20¢ downside .40¢ upside. Exit date Oct 29, 2025: Sold 150 shares of PPBT for $1.15. Was spiking nicely, got rejected at M/R level, downtrended fast, sold when it broke down entry level, did not do what I wanted.

Entry date Oct 24, 2025: Bought 41 shares of NEUP for $6.73. Double tap play, morning buy when it reclaimed the oracle signal the 2nd time after a failed DNR near the open, big % gainer with news, 16.3x float rotation, 2.32M float, former runner, day 1ner. Goal was $1.50 spike. Risk/reward was 1:2, .75¢ downside $1.50 upside. Exit date Oct 24, 2025: Sold 41 shares of NEUP for $7.07. Squeezed, sold at M/R rejection, choppy, kept going after, don’t panic sell!

Entry date Oct 21, 2025: Bought 100 shares of NERV for $6.45. RCT play, bought when it hit the top body of the first red 5-min candle, big % gainer with news, 2.8x float rotation, 6.96M float, former runner, day 1ner. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Oct 21, 2025: Sold 100 shares of NERV for $7.06. Nice squeeze, hit my goal, took profits, never get greedy.

Entry date Oct 20, 2025: Bought 100 shares of REPL for $10.02. DNR play, morning buy on the rip when it broke HOD after a long dip-&-consolidation at the open, big % gainer with news, 1.6x float rotation, 48.78M float, former runner, day 1ner. Goal was .50¢ spike. Risk/reward was 1:2, .25¢ downside .50¢ upside. Exit date Oct 20, 2025: Sold 100 shares of REPL for a $10.06 average. Was spiking nicely, started struggling, dipped fast, sold for tiny profits due to price action/momentum change.

Entry date Oct 17, 2025: Bought 150 shares of GWH for a $5.03 average. #5 FGD bounce play, morning buy when it broke the HOD after a spike-dip-spike at the open above R2G level. 0.74x float rotation, 9.38M float, recent supernova. Goal was .80¢ spike. Risk/reward was 1:2, .40¢ downside .80¢ upside. Exit date Oct 17, 2025: Sold 150 shares of GWH for $5.18. Didn’t hold breakout, panicked fast, E*Trade had problems, had to log out/in, averaged down, sold on the uptrend, left $ on the table.

Entry date Oct 16, 2025: Bought 100 shares of ARTV for $5.66. RCT play, re-bought in AH when it reclaimed the top body of the first red 5-min candle, AH spike on BNC alert, 0.85x float rotation, 6.47M float, former runner. Goal was .70¢ spike. Risk/reward was 1:2, .35¢ downside .70¢ upside. Exit date Oct 16, 2025: Sold 100 shares of ARTV for $6.06. Spiked nicely, sold into strength near my goal, moved fast, just took profits.

Entry date Oct 16, 2025: Bought 85 shares of ARTV for $5.67. RCT play, bought in AH when it hit the top body of the first red 5-min candle, AH spike on BNC alert, 0.70x float rotation, 6.47M float, former runner. Goal was .70¢ spike. Risk/reward was 1:2, .35¢ downside .70¢ upside. Exit date Oct 16, 2025: Sold 85 shares of ARTV for $5.19. Fake out, held a bit too long, sold below risk level, always follow plan, NO EXCEPTIONS!

Entry date Oct 16, 2025: Bought 75 shares of WHWK for $3.51. DNR play, bought after 9:45 when it hit the oracle signal after a big dip-&-consolidation at the open, big % gainer with news, 2.1x float rotation, 23.6M float, former runner, day 1ner. Goal was .50¢ spike. Risk/reward was 1:2, .25¢ downside .50¢ upside. Exit date Oct 16, 2025: Sold 75 shares of WHWK for $3.24. Gave it time, didn’t squeeze, sold at risk, higher float, possibly made it harder to squeeze.
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.