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One of my worst trades. Taken a toll on my trading confidence for sure but it is good to dissect where and why I went wrong. Essentially bought on a straight up spike on an OTC. Didn't let it consolidate all day (which is my pattern when it comes to OTC multi day breaks) No discipline to take it off as I didn't have a set risk level.

Bought a premarket breakout as a result of some FOMO from another ticker that did very well. It was a low float with news and a potential premarket breakout. Volume came in and it started spiking but perhaps not as much volume as I should have wanted. Volume eventually dried up and it broke a support level I was not comfortable with so I took it off.

Silly loss really. Should've taken it off during the gap down but wanted a decent bounce and didn't get filled for a few cents difference. It then went against me hard so had to take it off. Should've been more urgent and disciplined in getting out in the mid 2.10's not trying to pick a top especially after it took so long to spike.
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