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small gain, sizing up some more nowadays, dip bought this weak panic from its gap, hindsight I rushed and panic wasn't even 20%, fomo, working on it, remembered that it has tough fills, caught the bottom and tried to sell into strength, very tough fills even into strength, cancelled many and partials so commissions ate this up bad, sold the top so good fills but eh, bad trade, didn't have a plan and missed the ones I did have one for, sucks, oh well, next

dip bought this former runner on huge panic from gap up, massive panic but lots of dip buyers and fakeouts, shouldn't have traded but fomo, thought I caught the bottom, instant fill, scary, just seconds too soon so rigth track, filled, straight harsh panic, sold immediately, luckily fast fills, moved on, firmed and bounced nice seconds later, just too soon, sell the news situation, should'nt have bought, all good, next, big loss but cut immediately so whatever

dip bought massive panic of the gap, met criteria but lost big/undisciplined on it yesterday, noticed the trend, when fails to bounce after proving it can (by day), it might bounce nice next day, wasn't like yesterday where couldn't find bottom so right in thesis, straight down, caught the exact bottom, bounced a bit, sold immediately when looked to turn/slow down, sold into strength, no other way to get a fill on this, sold seconds after entry, left 3x on the table, bounced huge, no regrets

UGHH annoying, dip bought this runner from its massive gap up, nice panic, caught the bottom, tim bought, bounced a bit, wasn't getting selfish, tried to cut gains very quick, left my order in, didn't get, chased down before the panic again so tried my best, got caught in lod crack, panic sped up, tried to cut many time, many cancelled, added when bid firmed and tried to sell into strength, even then slow, sold near dead bottom, big late morning bounce, was too early

dip bought speculative runner, had its frd yesterday and isn't extended enough, feeling sick this morning, should've bought the first panic since huge and fast, damn, all good, didn't assess properly, bought the lod crack, good risk reward but chased up a bit, didn't realize, spread got tougher, more illiquid, less volatile, tried to be patient but wasn't working, sold, fast fill, panicked soon after and didn't bounce at all, great job at protecting, don't trade when sick, small loss

dip bought lod crack on one day runner, bad, clearly overtrading, bought near the bottom 2m after turn since still hanging low, not good sign of upside, bounced a bit, got scared and sold, luckily for me panicked big seconds later, the next dip was a little better but still shit, subpenny bs, too expensive, bad setup but good protecting on my end, ran out of buying power cuz of this, missed 2 better and actual ideal trades I actually had a plan for, stepping back

caught the bottom on the second panic after I protected beautifully, caught the exact bottom, panic met my criteria and exceeded, bounced nice and sold immediately, didn't want another loss especially after trading after a loss AND the ticker I just lost on, couldn't help it it was perfect, left just some on the table but no regrets, played it safe, not the time to be aggressive, long choppy big bounce after, perfect trade on my end

dip bought the panic on this runner, prioritized right, got faked out, bought the turn but fakes seconds later, realistically not big enough of panic for me, rushed/fomo, fast buy fill so I knew something was wrong, wasn't looking right, sold immediately, fast fill luckily, protected hugely, panicked huge seconds after and I caught the bottom on it, small loss, cut quickly, no fighting, disciplined, super proud, could've been more patient but perfect trade on my end

dip bought next lod crack, didn't break rules but should've been more wary of the tough fills since I experienced it, all good, chased up a bit, up on it shortly, tried to sell when wasn't looking right, MM were playing on level 2, considered holding in the moment, didn't so proud, filled eventually, HARD lod crack 2m after, protected, unfortunately was one panic too early, bounced huge after, paper traded it, right track, not discouraged, so close, all good, next

not ideal but dip bought panic from g/r, chased up a few %, nothing big, tough fills, bought, was up a bit, couldn't maintain, lots of fakeouts, tried to sell, took forever to sell, tried to cancel when bid firmed, got filled, annoying, left some on the table because of bad fills but most importantly protected, hard crack and panicked again soon after, good cutting gains and staying disciplined, good trade on my end
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