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Pretty good o/e play; entry was good but because of huge loss on ARQL i took comparatively very small position. as a result winners are much smaller dollar wins compared to large dollar loss... need to reevaluate sizing. sold pretty good at 2.87, 2.94 day one and 2.82 and 2.75 on next day; could have held until end of day day 2 or even added on bounce

Avg entry and avg exit on 6,000 total shares traded but was really in and out a couple times over several days. this was not the plan, it was an o/e play and when it broke risk instead of just cutting it and leaving it alone i tried to make it a winner, in and out over several days resulted in an okay percentage loss but a very big dollar loss. need to start evaluate everything by max dollar risk - and be disciplined

First time trying the gap-up-fade; timing on entry was great as it could not make a push forward and was sold into heavily, missed the 1st best exit at 8.20ish, and did not short on the bounce. in this case it would have worked, although i had to exit due to work commitments, it later went back to the 8.20's but held there for the rest of day. potential short into spike for Monday
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