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Bought during the first green day run up. Stock went red to green with speculative litigation news so I played it mostly on the nice day chart. Made multiple new day highs, with multiple pull backs which lead to being in this one longer than I wanted. Was going to hold over night but felt risky. Glad to be out in the GREEN!!!

Bought at the 10D high playing for a breakout. Stock failed and had to take another L. Stock was chop until just after noon when it ran from 2.70ish to 3.00, then dipped to 2.90 before running to 3.10 at 1:00pm. Faded after that into chop and closed at 2.93. Another stock that would of been green for me but I exited due to my losing track record trying to play it smart. With both plays today I could’ve made an easy dollar a share. Glad I cut losses quickly and did not use hop as a strategy!

Late entry but dip bought this after is raised near the day high for the second time. Stock failed and I cut losses at ($50). Setting this dollar amount for my new allowable loss before I pull the chutes. Stock steamed rolled after squeezing me out with areas of consolidation but ended closing at 4.54. I was on the right track just exited when I should of gave it more time to play out.
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