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Missed the initial breakout @ 1.50s due to broker issues. Historically, gaps hard and craps with the current news catalyst + expanding volume. Feels a bit chasey, but the price action feels like it has another leg up. Risking VWAP. Sold half @ 2.34 where the the move felt super stuffy. And the other @ 2.48 because the breakout past 2.34 stuffed out so quickly. Honestly, I think it could squeeze a LOT more based on price action and volume. But taking such solid profits is too tempting

Don't feel super great about this one. But the entry was decent, and it is technically my pattern. Waited for the fakeout, risking off VWAP. Broke my risk, and cut losses. Followed trade plan which was nice, but I was right to feel uncertain. Trade doesn't have the volume that I normally look for. Bored and tired today, so ended up forcing the trade for sure...

Contract winner + Bounce pattern. Just came off a massive drop off, shorts went a bit too hard and now its bouncing with a catalyst. Basing around 10.50s where the long term support was prior to all the volatility. i.e. what it's probs actually worth. Risk off 9.77-10.00 range, but looking to squeeze. Very large relative volume in premarket. Hold if the volume continues or expands, but looking to sell into a secondary volume+price spike. Sold near pre-market highs, price action seemed stuffy.

Trading premarket. Slow brain missed the entry @ 0.165 and @ 0.200. Entry feels a bit FOMO. Lots of resistance @ 0.3, but there's still lots of volume coming in with ACQ news, and the pattern is holding. Risking 0.23s~. Held through risk like a naughty boy. Thesis seems fine, entry was just bad as it held 0.2s. Took half off @ 0.2331 on the bounce, rebound felt stuffy. WTF AM I DOING ASJKLHLKJSDJL. Just cut it holy shit. Last half @ 0.1555. IDK what this was, tired and scatterbrained.
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