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it appears i'm doing it backwards. got in (late) at .156 out at .136 (loss of 200) got back in at .1217 had targets at .1408 and .163 but then decided to get out after it momentarily didn't break thru .14 - out at .136 the stock then proceeded to break .14 getting up to .147 in at .1479 target .1639 seems like it lost steam, lowered my target to get out as it looks less volatile - out at .154

Entry comments: maybe late to the party. will add if drops a bit more. looking for new highs: .0150-.0121
Exit comments: getting the mechanics down. after commissions it's not even enough to buy lunch. need to bring the NAV up over 25k to start playing just getting out so I don't get stuck with IB's enforcement of pattern-trading.

Entry comments: buy during consolidation. we'll see if it has another run up. hoping for a new high. target at 0.051 stop a little under previous pivot: 0.036 stop around 0.035 or 0.034
Exit comments: a few targets were met. probably could've hit the next one. BOT @.0372; SLD @ .0443, .0467, .0476. avg: .04682
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