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Could have been the perfect trade but it wasn't. It had me down $900 for couple hours until it spiked; at that point I was already exhausted and I sold when I saw a good opportunity. It kept spiking until $24 so, I left pretty much $15,000 on the table. I need to work on this. Super sad. When I got into the trade the stock was up %180 due to good news on trial for corona virus medicine EXTREMELY GOOD NEWS and I left them on the table. Was focus on my emotions.

Stock started to fade, got my fill and kept going down. didn't cut loses WISHING to go up meanwhile the market was crashing. TOTAL DISASTER STARTING WITH THE ENTRY, POSITION, MANAGE. IT IS TIME TO CORRECT THIS. IT IS ALWAYS THE SAME WHEN I HAVE SOME PROFIT I ALWAYS LOSE IT BECAUSE I DO NOT MANAGE IT

I had $TOMZ in my watch list for breakout. Place a limit order by mistake and got filled at $1.55. Really slow mover sold at $1.49 and finished the day at $1.55 If breakout $1.60 it can fly

This was a pure shame the stock run up to $24 after hours. I had just cash in my new Etrade account. NO margin yet!!!!! So, I cut losses when the stock broke $7.50 resistance and didn't go my way. First, it went up til $7.84 hit resistance and plummet 50 cents til $7.30 When I saw it started to recover, tried to buy more shares but hadn't margin. Should have sold in the resistance for a small profit and re-buy in the breakout (but hadn't liquidity)

Entry comments: Holding overnight small position. Stock is in uptrend since April. NO bad news, 45% held by institutions. Holding above $4 support. Today failed $4.20 resistance. Great volume yesterday and also today. People still interested in it.
Exit comments: Next day pre-market was running 20% on red territory so, I set up a stop loss of 10 cents that was filled at 3.92. after that, it spiked til $4.20 and got back to 3.90 I will keep an eye on it and set up stop losses under supports
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