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Jumped in too early. Entered significantly before my planned 2.01 risk level but still caught a small bounce and took the profit. Stock proceeded to put in a double bottom at 10:39am past my 10am agreed cut off time. Price action produced a Bounce to 2.40 well below my 2.70 planned exit but much better than what I captured. Must learn patience to trade this pattern.

Entered stock in the premarket as the stock reposnded significantly to a news catalyst and then pulled back giving a decent risk entry level. Stock was very choppy and I chose to exit at 6.72 at 9:11am on a pullback that was approaching my risk level of 6.59. Risk level was exceeded and the stock was extremely choppy at the open and for most the day.

Botched momentum trade on a morning spiker trying to do a higher low entry at what turned out to be quite near the peak. Wasn't focus enough to catch that MACD was at or near peak when I entered. Took to much size and Waited to long to exit hoping it would recover before my 4.06 stop loss. Clear FOMO trade.
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