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Entry: Broke out of intra-day consolidation and had some volume spiking. Looking like it wanted to breakout of multi-day consolidation and retest $.0139. Risking the $.016 breakout level. Exit: Missed my entry on this one. Should have bought in @ 1:34pm as it was breaking out of the $.016 level. Was in another trade at the time so I shouldn't have accepted that I missed the entry and not chased this one. Decided to exit once it showed hard resistance and a double top @$.0127 level.

Entry: Daily chart looking like a big bounce day could be here. Former runner that was holding gains and breaking out of morning consolidation looking to retest morning HOD @$.224. I thought I could maybe retest the $.25.00 level as the daily chart was starting to set up nicely. Risking the $.21 level. Exit: Sideways for hours and big time resistance @ $.22. The volume didn't seem to be picking up so I decided to get out with a small loss and re enter if I saw opportunity later.

Entry: Opening day @ all-time highs after strong Friday. Noticed this stock had good daily range. It panicked @ the open and dropped 15%. Bought in when it started to bounce near support from 6/21 and 6/22 near $.0055 and thought it could bounce back to .006 Exit: I tried to exit @ $.0058 when I saw it stalling but I couldn't get the fill so I waited to see if it would hold the .$ 0055 bounce. I cut when I saw it go below my stop @ $.0055
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