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SC(Strong Close); LON(Long OverNight); FGD Friday strong close buy, gap-up over weekend, sold Monday Morning for small win. Went with small size here to gain the experience. Looked like a sell off so got out, target was $0.70 never reached, could have held a little longer and sold into the small bounce after the morning pull back.

FGD(First Green Day); HODBO(High Of Day Break Out); First green day, was testing high of day and 52 week high, best daily volume ever, but tripple topped and failed to breakout into the close. History of 1 day spiking, was not a good trade, low percentage win trade. Hit my risk level and got out, followed plan.

Dip bought the morning panic, moved very fast. Got a decent entry, saw the top just before my 10% target, didn't get a fill on my sell. Price dropped fast in next 2 min, couldn't get filled on the way down. Cut losses at my $50 max loss limit. could have held through this one to break even or a small profit.

Multiday runner, good close, first green day after a small red day pull back, overnight OTC play. Took a small position to learn how to overnight swing trade better. My last overnight play I didn't sell well in the morning but learned what to do better watching vids. Used what I learned to execute this sell right at the top when market opened.

Classic panic pattern, followed the plan. Not the best entry. Bounce was way weaker then expected. Tried to be patient but the Ask got heavy and I cut losses quickly. I think this was a good play just didn't go my way. The following lower dip could have got in to recover losses but wasn't going to risk it due to the first bounce being so weak. Just looked really heavy.

Went in for a dip buy on this morning panic, was hard to get a fill and missed the bottom. Chased it a little since I thought it would bounce big back to $1.50. First bounce was a fake-out and had to cut losses. Was hard to get out so sold at bottom of real dip. Should have added instead on the second dip.
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