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Noticed that level was rising from its morning low of 1.52 and consolidated a bit in the 1.62 so I went it after monitoring L2 and liked the price action but exited shortly after it reached near it's first candle's hi at 1.71 because I saw some hesitation and I just wanted to get out and take profits... as soon as I exited I saw that there was a New High and was like shit but oh well. I guess I should take more risk? perhaps. I'm good with 173.52 profits.

I saw the dip go down to 1.58 and consolidated around that price with a high of 1.7 so I went in at 1.59 and got out because there was lame price action and the price looked like it was going down ... instead of taking a small loss as risk, I sacrificed the potential reward but at least I came out positive and that's what matters to me most.

Saw News @ 9am with good hold on consolidation near .0375. Bought right after .038 b/o. Sold @ .041 when I saw low Vol < 100K and the fact that I had to get on a plane so I'm out because of that too although would have stayed if I didnt have to fly out. I didnt feel comfortable on a flight and not looking at my stocks especially when I saw the liabilities of 40M in the last SEC doc. I had to read that more carefully but I gotta go.

This one made me nervous. 1 yr chart looks like a supernova and I didnt want it to crash since I'm increasing my risk by buying near HI. 10 day chart looked great too. Added res/sup lines, on 5 min chart, just in case it dips at open but it didnt and kept climbing. 1 minute chart, I was observing the vo and higher-LO's so I felt comfortable to buy @ .130 and got out at .0135 because vol decreased. Regardless of the fact that the price went above by exit later on, I'm happy with making a profit.
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