0.157195.3
50.010000.0
Total Profits:
$4,247.50
GoodKarma70

Trading momentum with new HOD and holding above vwap

000

-$75 Loss
NRDYLong Stock
GoodKarma70

Followed Tim's dip buy after pullback from big spike. I bought lower than Tim and thought that a gap fill on the intraday chart may provide support......it didn't.

000

-$216 Loss
GNSLong Stock
GoodKarma70

Bought ahead of the potential breakout above $8......it never came.......held and waited as long as it stayed in the sideways channel.....it broke below the channel so I exited. My concern is that this company is pumped on bullshit anti short selling and it coud go back down to $1

000

GoodKarma70

Bad move pre-market to average down......rode it all the way down to 1.01......was given a chance to exit at overall position scratch so I took it The intraday move higher was caused by a BS anti illegal short selling PR

000

$80 Profit
PXMDLong Stock
GoodKarma70

Pre-market strength.....bought a break out and rode it briefly

000

$60 Profit
RSLSLong Stock
GoodKarma70

Traded a dip below vwap.......didn't work the way I wanted bcus it went against me quite a bit......exited with small profit......I traded the ticker bcus it is a micro float

000

GoodKarma70

Trading momentum of news AND short cover notice from Trade Zero

000

GoodKarma70

Bought the recovery of a dip far below vwap

000

-$84 Loss
HKDLong Stock
GoodKarma70

Entry comments: Bought pre-earnings with thought there could be a nice spike over the next few days

Exit comments: TOS had earnings date wrong....said Thursday after close but then changed to Friday after close......makes me a bit nervous to have too big of a position for a Friday release......could be a good shakeout/bear trap or it could be just weak....I have a position in another account so I cut this one

000

-$43 Loss
HKDLong Stock
GoodKarma70

Entry comments: Earning out tomorrow.......bought just in case it spikes......it has a history of multi day spikes Also....the major shareholders agreed to a 2 year lock up of their shares a couple weeks ago....which should in theory reduce available float

Exit comments: TOS had earnings date wrong....said Thursday after close but then changed to Friday after close......makes me a bit nervous to have too big of a position for a Friday release......could be a good shakeout/bear trap or it could be just weak....I have a position in another account so I cut this one

000

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*Results may not be typical and may vary from person to person. Making money trading stocks takes time, dedication, and hard work. There are inherent risks involved with investing in the stock market, including the loss of your investment. Past performance in the market is not indicative of future results. Any investment is at your own risk. See Terms of Service here.

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.