0.0214848.77
1.07000.0
Total Profits:
-$5,826.48
$201 Profit
WNDWShort Stock
GoshdarnitTrade

Shorted supernova on end of 6th green day, most massive green day. It felt like that time someone bought all the shares and it just went up. However, it gapped up, spiked up the next day. I held through it - figuring end was close and it was exhausted already - 7th big green day. It went red. Covered on panic the next day, above possible support.

000

GoshdarnitTrade

EV hot sector, great catalyst: Big EV contract in Japan. Had multi-day breakout and history of huge spikes in this hot sector. 62M shares. I got in at bottom of first dip after the breakout at EOD and got out on 3rd spike which I feared couldn't hold height. Got out at the top of that spike and then it went down rest of end of day. Can't believe how perfect the timing was in hindsight.

000

GoshdarnitTrade

Supernova in hot sector. 1st green day again. On patent news. Spiked huge in morning, t hen down and grinded up all day. Entered before broke day high on consolidated. Went down. I hesitated on taking loss and right exit. Immediately shot up and past day high. Took my wins as was right under multi-week resistance. As almost always, collapsed next morning. Aside from risk not being good/clear, good trade.

000

GoshdarnitTrade

Got back in at big size when it held. Revenge trade for getting out early. It broke 850. Lost nerve at original target of 878. Got out and good thing I did. Phooey trading TSLA.

000

GoshdarnitTrade

Got in at relative big size. Bought right under 800. Figured TSLA would break it that day - it did minutes after and then short squeeze, thought to take $80 which is 10%. Got out next day when hit resistance of 850 hard.

000

-$106 Loss
BLNKShort Stock
GoshdarnitTrade

I was sure it was going down so I shorted a green day - a further collapse of an overstretched hot sector EV play. But it wasn't. It was a green day and it gapped up the next day. Got out. Don't get in not at the right time in the pattern!

000

-$60 Loss
PECKLong Stock
GoshdarnitTrade

1st green day on hot sector on massive volume and what seemed like a good EV catalyst. Stock was up huge but then went down and consolidated. Got in too early. Had I waited a few more minutes would've seen it's not going to rise. It went down. Got out. Did not cut losses quickly.

000

-$15 Loss
FUBOLong Stock
GoshdarnitTrade

I wrote at the time that I thought it was 1st green day on pump. Bought early, possibly as went green .Did not remain green. Bought too early in day. Did not wait for confirmation. Also, would've been tiny green day, so this wasn't the right day in the framework in any case. And did not have patience for confirmation. Did get out quickly.

000

$150 Profit
BLNKShort Stock
GoshdarnitTrade

Shorted A red day, not the first red day. On an overstretched EV hot sector framework play. 32M float. At end of year, when figured in addition to everything in January more ppl will sell. Don't remember why thought that. Shorted when went g/r in morning. Held all day. Ended day at bottom. Collapsed next day. Exited near same lows of day at EOD.

000

$61 Profit
RSCFLong Stock
GoshdarnitTrade

Previous supernova on good catalyst in hot corona sector. 1st green day, multi-day breakout. Bought at EOD after spiked past breakout on 1st bottom. Held till EOD. Thought catalyst is really good (I think it was a patent or a contract) but got out before trading ended. it went red the next day. Really good trade.

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.