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Entry: Got in after the pullback after the first breakout at 3.80. Then i added up into a moment of consolidation at 3.64 for an average of 3.73. My goal was to sell at the 3.90s and my risk was at 3.55 Exit: Someone sold a huge amount of shares just before i was about to sell my possition and i wasn't able to sold my shares. I exited into a little strenght at 3.49.

I'm starting to use the Ladder approach of trading on order to grow my account. Small possition unitl consistent. Entry: Got in at 14, which was the previous high, my risk was at 13 and my goal was to sell above 15. Exit: I sold all of my possition into strength at 15.30 for a decent 10% gain. Small gains add up!

Entry: I saw the good news that the company had in the morning and also noticed the previous high of 2.83 and got in at 2.80 with my goal to sell at the 3.10-20s. My risk was at the support at 2.64. Exit: I sold all of my possition as soon as it hit the 2.64s after the opening. Cutting losses quickly is the key!

Entry: Got in at the b/o level after the big pullback, my goal was once again to sell at the 2.60s and my risk was at 2.24. Exit: By accident i filled 300 insted of 100 shares and this is what caused my biggest loss so far. Also i was caught in a bull trap with a huge dump after my buy. However it's not that big of a loss.
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.