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entry; bought big seller and hod break. should have waited for a moment to see how it acted. dipped to .99 and almost shook me. rest of day acted decent with grind and higher lows and decent volume. eod bounced to nhod and pulled back just a bit so i held and risked o/n for possible gap.i rarely hold o/n but has worked well for me last few when price action/volume held through eod. exit; gap p/m. price action looked weak at open. sold between 0931am-0932am. first time i caught some hod on sell.

entry:hand sat strong bid support bounce from 1.7 that i strongly felt was nice price action for up move. continued to hand sit through break of big seller at 1.8. chased 1.8s. should not have. exit: sold on failed 2.0 break was fortunate to profit. left 600+not taking my own idea to buy based on 1.7 big bid support bounce that held well. missed churning buys in mid 1.7s also. 1.8 big seller break should have been last buy attempt. thankful i for profit of course. nice price action moves.

bought hod break held o/n based on nice eod price action. news people liked, though not groundbreaking resulted in better than i was looking for profit. second o/n decent news way better than expected profits in two weeks. i will gladly take any breaks like this i get. nice to recover from bonehead FMCC terrible deserved pathetic buy/sell order fill loss from earlier in day.

first trade mini dip bounce buy. nice profits in less than 10 minutes. second trade nightmare fills started trying to fill at 1.95 and chased unfortunately after. was still at 900+ profit at one point. could not fill sells after start of next downturn and got my ass handed to me. most order entry modify/cancels i have done in one trade in 3 1/2+ years trading. i was looking for r/g cross.gamble. i know better. have to follow the rules. nice reminder of why though i would have liked to profit.
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