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Overtrading (actually 88 trades) plus getting killed on the bid/ask and my substitute broker not having as great executions. Not even that upset at this one. I gave my YTD profits back and clearly there is a strategic error in how I've approached these trades. Going back to grinding shares, I've always said when my trading's good enough my P/L will reflect it. Some glaring errors in my strategy and some selective focus. These are the errors I have to clean up to get to the next level. Humbled

Entry comments: Speculative FOMO swing. AMC hit 20 recently and it's solid on the daily. I know these meme stocks can move up fast so getting a piece of the action so I don't hemorrhage my account through multiple attempts trying to enter with an ugly bid/ask spread. Just swing and hope you don't miss haha
Exit comments: Did what I hoped. Playing it safe at least for now.

Bad trading today. Got lucky I didn't blow up my account. Tired, poor risk management, my classic green to red day where I was up a few hundred bucks and got greedy. Bought in again in the opening minutesnot following my rules. Must learn. My understanding of the order flow is fine, I'm just making decisions that could potentially destroy my account and I was down -800 today. FOMO is really an account killer for me. And while I may have cut a huge winner I'm fine with it now. Dodged a bullet.
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