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Saw this stock earlier (around 2.60ish) but hesitated to enter then. Later I saw it made a nice pullback towards 4. My ideal entry would have been around 4.10 area, but took a small starter position at 4.20, maybe adding later if the 4 can hold. Goal is to get it to test HOD around 4.58 area. It tried to spike couple of times towards 4.30 area, but every time it got slammed back to 4.20ish even with SSR active, so I was in doubt and got out. Not good price action at the moment.

Bought this stock that spiked at the morning and made hard pull back. I entered as it was showing some upside momentum and anticipating cup&handle formation. Goal is at the HOD 2.2. Risk is around 1.97-1.95 as there were big buyers arount the VWAP. I saw high volume of selling coming in and decided to exit asap. Good exit as it went all the way down to 1.90. Poor trade at the mid range and wrong side of the momentum. However I was on right track as it hit 2.40ish later afternoon.

Entered this stock as it was monster runner yesterday (+300%) and was gapping up nicely. It spiked at the morning above the PM highs of 1.57 that I was aiming as a risk. Nice run. I sold into the strength, first 500@1.7, 250@1.73 and last 1/4 right at the top of the first leg @1.79. Nice trade overall with solid plan.

Bought the stock at premarket as it reported earnings and was reacting quite well. I was anticipating it could hold the breakout and go even futher. Risk was at 1.65. It hit 1.73 resistance and tried to get over it many times without success. Markets were also down about 1% and the long term chart is poor (bagholders from few days ago). Also very choppy price action, buyers and sellers eveywhere... It didn't hit my risk level at this point but price action was so bad that I decided to exit.

Bought this recent earnings winner that hit 14.80s level earlier and now it is dipping back to multi day (multi month) support at 13.90ish. Goal is to sell at the EOD spike near the highs. Sellers jumping in around 14.20 all the time and it is not moving anywhere quick, so I'll cut losses break even with this. Might run Monday if this 13.90 support holds.

Bought this earnings winner that has been hot few days/weeks. Stock went to red at the morning but steadily it came back and broke NHOD and I entered with a tiny position to test my wings again. Nice B/O that held, however it became so choppy around the $12 so I scared out, this might run even more. After a while it retraced back to $12 support level and I was tempted to enter again. After about 15 minutes it was running near $13,5 and around 11.50am it hit as high as $18

I was watching this stock around 1.49 when it was trying to break out the 1.50ish resistance multiple times. My entry plan was around 1.50 if it could break it. I got decent execution at 1.52 and it went all the way up to 1.64, but I hesitated to sell. Sold half of the shares at 1.59 and moved my risk to my entry level of 1.52 that was hit later. So small gain with this not so convincing MIDDAY breakout attempt. Pretty fine trade but time of the day was not optimal.

Bought this stock at premarket aiming for a morning spike as it had some FDA news. Entry plan was 3.14 and stop at 3.10. Right after I bought it fell through the floor all the way to 2.94 and I did get opportunity to cut losses there, so I waited for a while but when the bounce never came I cut losses at 3.00

Shorted this stock that was staying red on the day with mixed earnings two days ago. It had hard time to bounce back to R/G test with fading volume. After about 1 hour of sideways price action without strong bounces near the R/G test area it cracked perfectly and broke 4.55LOD. I hesistated to lock in gains, as I wanted it to go down even more. Then few minutes later it had strong bounce back to 4.65 level and I did not sell even then, becaus waited it to come back again, which it didn't do.
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