0.0042295.0
2.0538310.0
Total Profits:
$67,334.10
-$445 Loss
NOKLong Stock
herrera858

Day 2 continuation as Nvidia took a 3% stake in Nok. I gave this too much time intraday. It was fading but still held my cut level. Doesn't matter cause I was trading the news not the setup. The good thing is I did cut out finally. Bad trade.

000

Broker:ETrade
herrera858

Former runner at 52wk low and up 11% with good volume and gap fill. Someone is buying up shares today. I think a PR is coming soon so I will take a small position to test this. I didn't have full conviction in this trade at the start as it was a test. I wanted to add more shares day 2 but held myself back. When the investor news dropped near close I did add on shares but I still held back on bigger size. On that day I missed the opportunity to buy and sell within the swing trade. I was scared.

000

Broker:ETrade
herrera858

Consolidation support buy for b/o over previous high. Bought the lower dip and started a bounce up. The bounce got weaker and struggled to get past resistance so sold off.

000

herrera858

Looking to get day 2 continuation move higher. This dropped and held the 1 level support so I took my entry here. Got a quick run up but struggled in the 1.20's so sold off.

000

herrera858

Market was down Friday and this can have a decent bounce or daily breakout with market rebound. Consolidating throughout afternoon and holding support level so bought off the support bounce. I planned to hold a block of shares longer but I made small mistake so sold off all.

000

herrera858

I entered too early here as I wanted my entry near .28 so I chased some. I saw confirmation of upward momentum. It played out with a reclaim entry pattern but lower volume after open. I could have given more time here but I sold off as it was struggling at .31.

000

herrera858

#4 FRD. RVOL is good. So watch drop and possible bounce buy. so if drops to 1.40 area and holds maybe but if to 1.25 will be better entry but must hold. I could have held just a bit longer but that’s fine I took the meat of the move on this bounce play.

000

-$400 Loss
ABATLong Stock
herrera858

This is dropping at the open so taking a dip buy. This continued to drop further and past my stop loss so had to cut out. Well September and I didn't mix up to good. That's ok. I'm going to take a page out of Reggie's playbook and coin the name Mr October.

000

herrera858

Possible breakout continuation or FRD but drops to 2.80 and get a bounce. So dropped a bit further so bought back in. I am glad I bought back in because I haven't been hitting the same stock once I take a loss on it. Was also good that I started selling off into the highs and added on the few mins of consolidation. Also selling all off and not holding longer than I should.

000

-$135 Loss
SLNHLong Stock
herrera858

Possible breakout continuation or FRD but drops to 2.80 and get a bounce. Here is should have had more patience for it to come all the way down to the previous level 2.70 where it already bounced off of. This was the level I wanted but got excited and didn't want to miss the trade if had popped before the further fade. Also I really could have just held this as it didn't reach my stop loss yet. But I'm trading scared and tight so i cut out quick when it didn't do what i wanted.

000

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Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.