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Entry: These spiked Premarket almost $2 full dollars and came all the way back by open bringing along a beatdown RSI. Ideally, I want to get in as soon as it looks like it made its directional move. Exit: I hesitated a little and got in a 4.4 when I could have had a 4.2. It really started spiking at about 10 am and 10% bid over vwap when I should have gotten out but I was being greedy. stayed and got out at 4.87. Big 200 ASK showed up at about 4.90. Will look to see if it breaks out of 5

Entry: looking to enter while this second green day was pushing day highs. Holding over the weekend for continuation, 52wk chart looks like this could float to 0.80. Exit: Slight morning sell-off and a flat early afternoon morning made me impatient thinking this could break down again. I was on the right track as it has a midday breakout, currently at 0.65.

Entry: Looks like a classic pump pattern. Figured I would right it out till green days got crazy and volume came in. Small testing size. Exit: Got pushed out, unfortunate because I would be back in the green already as it went right back to 5.60. It's had a couple of panic days previously so need to remember that better next time.

Entry: Already UP 200% on the day, with no catalyst to my knowledge but a sympathy play to a potential merger? So small position. Looking at semi intra day breakout, to run for a potential full intra day breakout. Exit: Looking weak on less volume, big walls keep showing at .54-.55 breakout level I was looking at. Only risking 5 cents since only looks about maybe 20 cents to the top After Trade: Did end up breaking out to .59

Pulled up on my scanner, Had a great jump on some news just before, then consolidated. the price was at least holding , actually moving up a little bit at a 5 min period. With the volume fading, so I thought once the volume gets back in, its going to take off at the intraday breakout of the high. was right, went to 4.5 nice round number but I help being a little greedy, but got out by raising my stop limit.
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