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What a crazy trade.... Got in because FOMO got the best of me, then not having a plan made me restless. Got out for nearly break even before this broke 3.00... and 4.00.... and 5.00...........................................................................................................................................................................................*********

Watched this all morning, I covered early yesterday but today I wanted to give this another chance, noticed the gap down but was a little worried it was a short trap, once market opened I waited for the push back towards r/g, I felt like 2.00 was gonna hold so I shorted and waited, covered 500 really early at 1.87, bad habit just to see some green on the day. waited really patient for low of day to break and covered the remaining 500 in the low 1.70s. happy with planning, entry, and exit here.

Shorted this as it had a huge run today, wanted to get short into a pop back towards its High of 2.32, but instead this looked weak so I chased weakness... Big mistake, went on a crazy run risking .30 cents a share. Thats a 300 dollar risk and that is a huge loss for me. But I was forced to hold out and only panic out if my risk was hit, instead got a nice pullback and I covered 500 at 2.05 in case this somehow ripped back again. It cracked under 2 and I covered the other 500 at 1.92

Wanted a perk to short into and I honestly don't know why I rushed into this without thinking, This had support at 1.25 from consolidation all morning. That left me with only .05 cents and that was best case, regardless I placed a short on it. Got out as high 1.20s continue to hold, no surprise there... Not the best trade in terms of entry, I recognized the consolidation and thats what kept me from placing the trade to begin with but I finally threw my hands up and placed the order. stupid me
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