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Entry comments: Stock had news catalyst this morning. Holding near its highs around .63 (high .65). Could have big spike and test resistance in the .70s. Exit comments: trade was kinda messed up from the start. Bought the breakout at .66 on the dip, thought it could retest the high at .68. Gave it time to prove itself, but it didn't breakout convincingly, so I tried to cut losses quickly. Bad executions by ETrade was not letting me practice that this time around.

Entry Comments: Had green day yesterday, finished strong into the close. Wanted to see if it could test resistance in the .37s which was the high of yesterday. Exit Comments: Had spike premarket past .37, wanted to see if it could have momentum and retest the high. It did in fact, but it was very choppy before the spike. A lot of consolidation in the market open.

Entry comments: holding breakout in the 2.50s from yesterday pretty well. Could have morning spike tomorrow at the open. Could test the 2.70s and 2.80s Exit comments: spike was pretty quick. Tested the 2.70s premarket. Wanted to be long then, but E*trade wouldn't let my trades get executed. Bought at support following morning panic.

Entry comments: buying day in advance of earnings release on Tuesday and conference call on Wednesday. Plan to make .20 cents/share
Exit comments: actually entered in at .43. exited at resistance level. Couldn't really break the resistance level. Didn't make amount of profit aiming to make, but better than a loss. I'll have to do better next time.
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