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AM spiker that consolidated around its highs. Bought into consolidation using support as risk and hoping it would breakout. Brokeout nicely and would have sold at 30% profit but wanted to save my last PDT trade for something I might really need to get out of to avoid big loss. Held o/n looking for it to hold $2 on Monday for longer term hold, but sold once it broke $2 (although bounced back and EOD was 2.1)

Premarket spiker on news of deal with DoD. Dropped 20% off premarket highs so bought at market open hoping for AM spike and patiently withstood the mini AM panic because lvl2 showed lots of buyers/support above my risk level. Brokout to day highs around 11 with huge spike in next 1.5 hrs. Held too long again, should have sold around 5.40.

1st trade ever! Bought on news of Microsoft deal (which turned out to be fake). Bought too early in anticipation of breakout which never came that day but held around highs so held o/n. Spiked premarket and just after open and sold after it could'nt break 4. SUPER lucky fake news wasn't exposed till later in trading day, overnight would have killed me. Great first gains on small account though...
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