0.299126.18
30.04000.0
Total Profits:
$1,511.25
Garrett_Fuller

Dip buy "pattern". I did something weird. I think that was a bad trade that happened to work out. I had a reasonable risk level at .52 but I think I took this trade because the market sucks lately and I was getting fidgety. Something I need to suppress.

010

Broker:ETrade
$84 Profit
VIVKLong Stock
Garrett_Fuller

Fat finger mistake. I accidently bought VIVK at a limit order above the then current trading price because I forgot to change the "price type" to "stop on quote". This made me VERY nervous! Luckily, it spiked up pretty quickly but my mental state was not good, so I got out at $0.32 for a 7ish% win. I was so mad at my botch I couldn't think clearly.

000

Broker:ETrade
$61 Profit
BAERLong Stock
Garrett_Fuller

Quite happy that I got out of BAER when I did. It's initial move in pre was something to put on radar. Yes, it ended up being a pos, but I am not kicking myself for buying when and where I did. It could have just as easily kept going and become one of those monster day 1ers. But I got out with a 12% profit because it wasn't cleaning itself up. It was only a starter of $500. Clean charts are becoming increasingly important to me. If I am in anything that starts acting dramatic, I'm out.

100

Broker:ETrade
$29 Profit
REPLLong Stock
Garrett_Fuller

I had to get out of this dip buy play because I have to get my gear together for a job tomorrow. I didn't sell for any other reason. Would have rather let this cook a bit longer. Life won't let me.

000

Broker:ETrade
$46 Profit
XRTXLong Stock
Garrett_Fuller

Failed trade. Sold for practically a wash which has been the theme for the last few trades. I wasn't happy with my entry at 1.19. Missed the dip, settled for an Oracle signal play. I saw a big seller at 1.25 so I sold to protect. This isn't the way to grow my account. I got to have better nerves.

000

Broker:ETrade
$56 Profit
AQMSLong Stock
Garrett_Fuller

Bounce play after yesterday's sell off. Didn't like it. Wasn't happy with my entry. Got nervous seeing it bump against $19 resistance. Tried to give it time but was unwilling to hold through a dip.

000

Broker:ETrade
$44 Profit
PFAILong Stock
Garrett_Fuller

FOMO trade. Bad trade for a bad man. This wasn't a good trade. I missed some great dips and justified this weak ass trade because I was mad. I did a market order and was put in 5 cents over what I wanted. After some self-reflection, I got out for a stupid scalp. Bad trade! Very bad trade!

000

Broker:ETrade
-$46 Loss
JDZGLong Stock
Garrett_Fuller

Small loss. Kept risk level. 10am fader pattern that didn't work out. Was risking a premarket support lvl but it punched it and instead found support at a daily lvl.

000

Broker:ETrade
$44 Profit
GWHLong Stock
Garrett_Fuller

10am dip buy attempt. Theory was if it broke opening candle high, and would make a nice reclaim. Got out early because the dip did not have enough buying volume in the 3.50 range. Not trying to scalp. Just reading the tea leaves.

000

Broker:ETrade
$60 Profit
MRMLong Stock
Garrett_Fuller

This had a non-fluffy 4pm PR the day before. Needed tech for healthcare to authenticate humans. I caught a morning DnR but even with the news, it faded pretty hard after the open. I was able to get out with a decent win when the rip started to feel stuffy. I can only guess that shorts were still trying to kill it. That mid-day perk was the signal. We got a whole new "group 1" at 12:30. Group 2 started at 1:30 and that should have been me. Big squeeze.

000

Broker:ETrade
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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.