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clear retest level, bought close to LOD which was my risk level. plan was to exit above 1.90 preferably 1.94. but it broke down testing 1.80s. it dropped slightly further to 1.74 before bouncing to my exit of 1.90s. but i'm not waiting. i'm cutting losses quickly. not waiting for bounces. i don't do well with those.

half a small position to get some reps buying at support. 50 shares at the double bottom on 5min in the low 11s. then a 50share add at 10.70. my risk was set at 10.40 but i waited for the fakeout breakdown instead of cutting losses quickly at 10.40. and it dropped under 10 for a second, and i waited a few more seconds for it to bounce a bit and it did not. so i sold slightly above 10. pretty bad trade especially since i didn't stick to my risk of $50 nor my risk level of 10.40.

risk 10c to make 20c. 1. multiday trendlines break on the 15/30m. great volume when breaking out. pullback was 4.85 created 3days ago on Jan 15th. should have bought the pullback but i wanted to wait for a double bottom or higher low confirmation. bought 500 shares too high at 4.94, then added at the double bottom at 4.84. exit was planned around 5.10 but there was so much chop around 5.00. small gain. was up $80 unrealized at one point. so this is disappointing but it's the name of the game.

12:02PM jusbeatbox: long $GSIT 300 share 3.99. i'm willing to add 300 shares. if there's a fake out breakdown to the 3.90s but I will cut if it drops to the 3.80s. plan is to exit above 4.20s. but hopefully there's a HOD retest. small size to hold for longer. 12:13PM jusbeatbox: i just cut $GSIT when i told myself i wouldn't if it retested the 3.90 area. gotta work on my nerves. -$21
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