0.00227541.0
0.202400000.0
Total Profits:
$34,091.00
-$99 Loss
FNMALong Stock
karman

10/31: taking some here on bounce idea, risking LOD. Out for small loss.. Too early

000

Newsletters:TimChallenge
Broker:ETrade
-$201 Loss
INTSLong Stock
karman

10/30: buying dip to VWAP in afterhours, looking for a possible gap up, needs to reclaim 1.4 for this. Risk .95. Cut it as I didn't like price action.

000

Newsletters:TimChallenge
Broker:ETrade
-$135 Loss
MSAILong Stock
karman

10/30: Impressive shakeout and recovery, entry a little chased, risking 1.28, looking for the confirmed breakout and move towards 2 - 2.5, still a gap up candidate. Took loss afterhours.

000

Newsletters:TimChallenge
Broker:ETrade
-$220 Loss
MSAILong Stock
karman

10/30: Buying this breakout, risking 1.25, looking for this to confirm and become a potential swing for gap up and spike to sell into. possible target 2 - 2.5. Stopped out, stuck with plan. Entry was a little hectic, could have waited for dip or even later in day to enter if it proofs itself

000

Newsletters:TimChallenge
Broker:ETrade
-$237 Loss
FNMALong Stock
karman

10/30: Restab, thinking this was a shakeout move in the morning and will enter bounce now.. smaller position, wider risk.

000

Newsletters:TimChallenge
Broker:ETrade
-$224 Loss
FNMALong Stock
karman

10/28: buying some near BRN 11, bouncing of 100MA, looking for a hammer candle day and possible move back to 12 - 13. Risk 10.8. 10/29: held my risk level all day, looks similar to last time it build a bottom. Added to get fullsize. Thinking this could gap up and start bounce tomorrow. Worst case full size loss. Taking loss here, adding was not necessary, could have been avoided.

000

Newsletters:TimChallenge
Broker:ETrade
-$26 Loss
FNMALong Stock
karman

10/28: Buying some on weakness into close, which is very common for FNMA after a strong push. Risking 11.1 on this, not selling my core position in Individual account, unless is breaks 10.8. Goal is also a bounce idea over multiple consecutive days. Taking off this part for small loss, didn't consider earnings today and want to ensure I can reduce losses in case it drops more. Can rebuy later if trend is showing up.

000

Newsletters:TimChallenge
Broker:ETrade
karman

10/24: Swing trade, big daily chart toward multiweek breakout, liking prior day hammer candle and this day strong close above former highs, thinking this can gap up and have a run towards 2.7, risking 2.1. Taking a single here. Reconsidering rebuying near 10MA again

000

Newsletters:TimChallenge
Broker:ETrade
-$138 Loss
BYNDLong Stock
karman

10/28: Reversal FGD, bought on dip near 2, risking LOD, goal is squeeze to 2.5. Went to 2.3, didn't take partial gains, gave back all gains. All for a small loss.

000

Newsletters:TimChallenge
Broker:ETrade
-$64 Loss
REKRLong Stock
karman

10/28: Swing idea, chart building tighther flag, risking low from 2 days ago, good R/R, ideally making higher lows from here over 3 towards 3.5 - 4. Need to respect price action here, red day, will go lower, needs to break above 3 to be in play.

000

Newsletters:TimChallenge
Broker:ETrade
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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.