9/14 Watchlist:
PHIL, HALB are recent runners to continue watching, be careful since the recent runners seem to be starting to fail.
HRAA, ILUS, TLSS, FERN, KLYG, UWEFF are some recent spikers as well to keep an eye on for potential dip buys into any big morning panics (Tim's watchlist). Especially ILUS and HRAA which are both very over-extended.
High priced spikers to keep an eye on are NUKK, CYDY, and JCS. Potential dip buys but also very choppy (Tim's watchlist).
RLBY, PGLO both finished up over 200% on the day (9/13), with a good looking long term chart. Looking for any morning panics for dip buy opportunities.
JCS up pre-market, dropped after hours news. Last time similar news was reported, saw a large spike and a great first green day. Keep an eye on the morning runner opportunity, could be fast.
Paper Trades 9/14:
PHIL long at 9:32a - bought 100,000 shares at 0.0085 on morning gap down and panic, goal is 5-10%. Stop is 0.0079. Sold 100,000 shares at .0094 at 9:41a. Nice little single, was a bit of a slow mover and should have been more patient on my entry, there was better opportunity in the dip around .0083, but I'm happy with taking the single.
- PHIL had a morning gap down and a further panic! Great setup for a dip buy, just need to be more patient and wait for the moment shift up before entering to get a better entry and guarantee a further panic won't kill me.
MDMP long at .1015 - bought breakout over morning high 10,000 shares at 0.1015. Sold 5000 (1/2 my position) at 0.1074. Seeing if it can break out further over new highs in the .109s. Sold remainder at .118, perfect breakout! NEED TO PAY MORE ATTENTION TO BUY/SELL SELECTION ON ORDER!! Average entry: 0.1079, average exit: .1202. Totally messed up my exit TWICE and bought instead, WHAT IS GOING ON WITH ME?! Ended up working in my favor as stock continued to breakout and was paper trading, would have been in big trouble with the PDT if this was actual trading! Ended up making an 11% profit but it was STUPID. I need to be more attentive and prepared for my sell point, ESPECIALLY on fast moving breakouts such as this one.
Goal for the remainder of the day is to sit and watch the market, timeout two days in a row for the same stupid mistake. ROOKIE MOVE!
Intraday Notes:
AAGC first green day, wait for potential break of HOD. SUPER HIGH VOLUME AND FLOAT, BE AWARE MAY BE A SLOW MOVER.
ILUS back up near HOD .199. Overhead resistance at .2017 yesterday's HOD. Wait for it to pass that before confirmed breakout.0
After Hours:
Overall a pretty good day as far as recognizing my patterns go, just need to be better prepared with my entries AND exits so I do not make anymore silly mistakes. Overall, pretty happy with how the day went. Will continue to watch these going into tomorrow.
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