0.0047121.55
22.01000000.0
Total Profits:
$6,493.14
benneyy1

"189MF. Earnings winner. MDBR over 3.00. Will look for MDBR over 3.00 risking off of 2.85. Looking to sell in the 4.00s." In hindsight could've held through the 5.00s

000
-$45 Loss
LUMNLong Stock
benneyy1

"Will look for test of 7.18, looking to buy a dip in the 7.00s. MDBR continuation play. Looking to sell in the 8.10s. Or panic down to the 5.25s risking off of 5.00. Looking to sell in the 6.25s" "Held overnight. PM hanging in the 5.25s. Am looking for it regain R/G level in the 5.38s and hold. Needs to break 5.50s. Riskin off of 5.20" Higher float stocks I can be more patient, whole numbers are always safer when making a plan. Also made mistake with size.

000
$50 Profit
IMNNLong Stock
benneyy1

"9.3MF. Cancer news. Will look for panic dip down to the 3.00s." Did not create an exit plan. Pushed to the 3.50s but got greedy/did not make exit plan.

000
benneyy1

15MF. MDBR level in the 14.00s NVDA contract. Bought when it dipped after it broke out. Should've been more patient with my entry and considered the day's range. " Looking to sell in a retest of 16 highs. As long as it can hold 14s" Moreover, should've of been more patient with my exit/followed my plan, it ended up hitting the 24s.

000
-$125 Loss
NUZELong Stock
benneyy1

"400KF. Choppy no news. 4.30 mdbr level. Will look for a pullback after testingf this level. If lots of volume will buy BR risking off of 4.10 looking to sell in the 5.30s." This was not an MDBR, but a PHODBR. Not a good setup, very choppy, no volume, no news. Ended up breaking out later though.

000
-$62 Loss
IVPLong Stock
benneyy1

Was buying BR over Previous day resistance. My risk was 12.50, did not think it would hold this level and sold. Should not have been trading before 2:30pm. My idea was good, ended up squeezing to the 16s. All in all a bad plan.

000
-$100 Loss
AMCLong Stock
benneyy1

"294MF. GME is back RK is back. MDBR at 3.55. Will look to buy in morng open pullback in the 3.44s-3.50s" Ended up going all the way to the 12.00s. Did not have risk in place.

000
benneyy1

"3.0MF. AGMT Acquisition plus data. MDBR 3.10s will look for consolidation in the 2.75s after testing 3s." Should've written out plan. But mental plan was to buy break over 2.90 sell in the 3.50s. New risk was 3 when it broke 3. Couldn't hold the 3s so sold.

000
-$150 Loss
KULRLong Stock
benneyy1

"90MF. Military contract. 4250 res on 30min chart. Will look for dip into the 40s risking off of 3850." Did not play my plan... Played the 0.44 pm pivot level because I got FOMO. My plan was right on the money though.

000
-$65 Loss
CGCLong Stock
benneyy1

"Germany legalizing weed. 70MF. Needs volume Key level. 8. MDBRF 8.30. Day2 push possible" Did not write out panic dip plan. Went for a dip off of 7 prev day support. Ended up dipping to 6.35 and pushing back up. Base off trades on major levels

000
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*Results may not be typical and may vary from person to person. Making money trading stocks takes time, dedication, and hard work. There are inherent risks involved with investing in the stock market, including the loss of your investment. Past performance in the market is not indicative of future results. Any investment is at your own risk. See Terms of Service here.

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.