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SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 8/18 9:28 $0.0048 70k 48% off 8/13 $0.0093 HOD. Price fell so added 8/25 9:18 $0.0036 70k. I immediately set my Limit Sell for $0.005 on the re-test of that psychological price as it usually happens. Fidelity got me out on the 9/4 PR bounce 8:49/8:55 $0.005.

SUPER SALE STRATEGY (sort of - wasn't a Big % Gainer or former runner I just liked the chart last week) per my 2/27/21 Profitly blogpost. Dip bought 9:55 $0.0395 [using a Limit Buy at $0.041] 55% off 8:30 $0.0879 HOD while I was on the other side of town playing with my grandsons! LOD was 10:06 $0.037. When I got home 12:32 to discover I was in, price was $0.0558! I got on the Ask at $0.0553 & Fidelity got me out 12:46 $0.0589!

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 6/6/24 12:57 $0.0007 280k 50% off 5/28 $0.0014 HOD. Price fell so added 2/12/25 8:31 $0.0003 280k. Reverse split 1:224 on 2/13/25 now 2.5k at $0.224. Added 2/14/25 8:30 $0.275 2, 10:51 $0.50 486, & 10/16/25 14:17 $0.06 1,310. Price b/o 8/24/26 to $0.26 over 6/12/25 $0.20 but couldn't hold b/o on the pullback so I got out on the bounce 8/26/26 8:39 $0.21.

I got in this trade because it was OTC #2 Biggest % Gainer with Volume on 5/14 & is a 27-time former runner since 1/19/22. Dip bought 6/5 13:23 $0.0015 252k at general support on the 2-month daily. Price fell so added 6/9 12:31 $0.0011 250k. Ticker changed from ECOX to AEFI on 6/23. Price came up on 8/24 PR. Pattern was good all above VWAP mostly. Price was hitting $0.0017 13:48 on but I grew impatient not wanting to be greedy so got out 14:31 $0.0016. Price is $0.0017 at 14:34.

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 6/15 12:49 $0.038 9k 57% off 5/26 $0.088 HOD. Price fell so added 13:40 $0.036 1k, 6/24 14:44 $0.0282 4.691k, 6/24 14:46 $0.027 5.309k, & 7/6 10:01 $0.02 5.363k. Ticker changed from EVLI to AGCI on 7/22 and STT had no chart to watch! I set my Limit Sell at $0.0381 and moved on. Fidelity got me out 8/21 11:09-11:19 per the attachment.

I got in this trade because it was OTC #2 Biggest % Gainer with Volume on 7/2 & is a 9-time former runner since 2/23/21. Dip bought 7/29 9:46 $0.023 15k at general support on the 3-month daily on the fifth red day. Price went sideways $0.0204-$0.028. On 8/19 it started b/o over channel. On 8/20 I sold 7.5k 9:31 $0.0301 on the $0.03 re-test. Pattern was all over VWAP so I was patient. Weird action $0.0354/$0.0355 so I got out other 7.5k 10:36 $0.0359. Price is $0.037 at 10:49.

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 7/15 8:30 $0.412 750 shares 54% off 7/8 $0.90 HOD. I split the shares to sell at $0.5562 & $0.6386. Fidelity got me out 7/16 12:37 $0.575 375 shares but then price & volume fell. I moved the other Limit Sell down to $0.575 & Fidelity got me out 8/13 14:50 when the volume returned.

I got in this trade because it was OTC #1 Biggest % Gainer with Volume & a 12-time former runner since 11/24/23. Dip bought 8/3 9:09 $0.0016 200k 27% off 9:00 $0.0022. I split shares to sell at $0.0021 & $0.0027. On 8/4 over 200k hit at $0.0021 but Fidelity only got me out for 35.5k so I put all the shares at $0.0021. Fidelity got me out 8/13 11:00 $0.0021 164.5k.

SUPER SALE STRATEGY per my 2/27/21 Profitly blogpost. Dip bought 5/4 8:40 $0.009 37.1k 50% off 4/22 $0.0179 HOD on the 8th red day. Price fell so added 6/2 10:31 $0.007 37.1k & 7/2 14:22 $0.005 37.1k. Price bottomed 7/6 $0.0035 then started it's slow bounce on low volume. I thought it would get back to $0.009's but I decided not to be greedy & got out 8/12 8:50 $0.0085.
Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.