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Bad entry here, but would've been a great play if I timed it right, couldn't find any previous support to buy it on until I looked closer afterward and saw 0.70 would've been a good support to buy, and it was and had a nice 20% bounce, dipped and bounced another 25%. My timing was bad and I don't know why I bought it when I did and I averaged down at that when I should've just closed out.

Finally a nice win here, waited to see how it reacted to the Data release at 10am, then it tested the LOD and then broke and I continued to wait it out to see how it would react, it bounced and retested the previous LOD but didn't move much at all so I bought a put and stayed patient, VIX was spiking nicely at the time to confirm my thesis but I needed to be careful because of the V recoveries that SPY likes to make

Watched it come all the way back down to break the LOD and bounce back up to retest the first 15 minutes of the day's support level, I bought a Put expecting it to touch that level and come back down but before it did drop it hit my stop loss before dropping lower, I was right but too early and not patient enough

Bought after watching it break Friday's double top, and the plan was to wait and see how it played out after it broke Friday's highs and to see if it would come back down and bounce off that point, so I bought when it hit that point and it bounced very small but ended up breaking down and bouncing at a lower point (2.52)

Once again had 3 trades today (all calls), all losers, stayed true to my stop loss points, but I was right in a way because it did go up about 20 minutes after I closed. PPI data came out this morning and dropped SPY big time in the p/m, and the way SPY has been moving on data release and the V recoveries I was cautious to buying puts. The bottom wicks on the 5 minute candles were heavy and repeating so I was expecting some buy pressure to the upside but kept getting stopped out.
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