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Trending upward after hitting support at 4.9 ish. Bought on weakness at 5.35 ish. Risk was to 5 but thought it could spike above 6 in a short squeeze. It did and sold right before halt. Good or bad not sure as I was not expecting halt. But took profits and ran. EDIT: Halt over - short squeeze continues to 6.38ish. I expect this will crack at 6.50ish

Terrible trade - over trading first day. Missed LOD and wanted to short into big drop but couldn't get into panic. I Decided to "trade anyway" - tried to catch bottom support from prev day. turned out to be scalping. Thought it would gap right back up as plummeted and hit support Cut profits quickly - trend line was poop - although bought instead of sold adding to position by accident...Got a cpl non-losses under my belt and executed a trade or two to get a feel. Back to studying..

Saw trend change and multi top. Bought after breaking prev days support. Def speculative and risky..Bad Trade really but saw topping.. Don't like company and felt was up on BS acq of partner company. Saw similar downtrend to earlier in day. Risk: 2:1 In 7.20 Out Profit - 6.60 (.60) - Prev Support Out Loss - 7.50 (.30) - Prev Suppport Buy In: 7.20 Buy Back Win 6.60 Got out early - did not tank like I expected - saw bottom and took it.

Super Nova on a company selling off shares of acquisition on a POS company. Said acq was still speculative and actually increase expenses following it. Way over extended on news at 100%+ spike, waited for sideways action and failed break out and fading volume. Plan: 6.20 / 5.50 Short 6.01 on second red. Held failed breakouts. Should have let day played out and made decision on Day 2, but bearish market, shorts favored on these spikes, and not hot sector or region.
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