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Had been consolidating above a key support level for multiple days after a multi-month breakout. Had a solid morning spike and I bought into the pullback bounce. Ended up breaking HOD shortly after and sold 2/3 into strength and held 1/3 anticipating a PH move. Ended up having another HOD break during PH into the close and I sold the rest of my position into strength. Solid setup and ideal execution.

The plan was to swing throughout the day and have a stop-limit order setup. Was watching for the double bottom reversal and had a really nice entry buying in off a higher low. It ended up double topping at HOD and my stop-limit got triggered towards the close. Frustrating loss due to the fact I didn't lock in profits when it retested HOD, could've easily been my best trade in the past couple of weeks if I wasn't being greedy.

Had on watch due to crypto market being hot. Solid FGD with heavy volume, was looking for a PH breakout. Bought into a break out of consolidation and quickly sold for a tiny win. In hindsight, should've held part of my position longer considering the strong close and sold into the bigger move after hours.

Popped up on PM scanner. Was watching for a reversal off the pullback and bought in on a small consolidation break anticipating continued momentum. Got stuck in chop and sold slightly past my risk level. Ended up being another perfect gap and crap short... This may be a sign to start looking into short selling, I've been starting to recognize this gap and crap setup frequently over the past couple of weeks.

Was watching for a breakout out of the open, due to PR during PM about receiving FDA clearance. Bought into a bounce off an intra-day support level, with a decent perk in volume. Quickly got stuffed and then shortly after got stuffed again on another volume perk, which gave me reason to sell before my risk level. Ended up being a perfect gap and crap short play.
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