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Bought at the pre-market open, anticipating the half-dollar support level from yesterday's after-hours would hold. The risk was to sell if that support broke, with the goal of selling into strength near yesterday's after-hours high. Sold due to panic, although it pulled back. I need to learn how to sell on pullbacks once my risk support is broken.

Bought after making a new low at a key support level from yesterday AH. The risk was to sell the break support of 4.70. The goal was to sell into strength when volume appeared, which it didn't, broke support level and it created a new low. I sold after that. My mistake again was not letting it create higher lows and trying to predict the bottom to get a better position.

Bought after hours as the stock held the $5 whole-dollar support, forming three higher lows that signaled bullish momentum. My risk was set below $4.98, with a target near $5.50 resistance. Although I missed my exit while away, the stock followed the setup perfectly, breaking above $5.50 and spiking into the low $6s, confirming the breakout strength.

Entry comments: Bought this MOMO after spiking to low $10s at pre-market open, then making a low at $7.30 and reclaiming the half-dollar level of $7.50. Risk: Sell if price breaks below $7.30 Profit: Sell at or above VWAP level of $8.50
Exit comments: Sold after the price failed to break the $7.85 resistance and fell below the $7.50 support. Buying momentum wasn't there, and there was some FOMO involved. I need to be patient and enter trades at key levels to avoid higher risk entries.

Entered the trade after observing strong buying activity at the $6 support level during an uptrend. Risk management involved exiting if a shift in momentum was seen, specifically a break below $6. The reward target was to sell into a strength move, aiming for a profit of $0.30 or more, which indeed it did. Nice price action trade.
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