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Entry comments: Technical Analysis: Swing trade that closed near day high of the day with green candle. Fundamental Analysis: There was news on this day. Plan: Sell into possible morning supernova or morning spike for $2.50 per share. Already have a $3.25 profit right now. Result: Should have take the $3.25 profit during premarket. Stock never had a chance to spike.

Technical Analysis: Former runner during premarket, low float, high volume, high % gain. Fundamental Analysis: COVID 19 news at 9AM Globe Newswire, 9:42AM Pennystock.com, 10:35AM Live Money Result: Stocks to Trade crashed again when market opened at 9:30AM, so I was paranoid about losing money. Sold stock quick for a loss. Should have waited for stock to rise to $4 a share and then sold. Stock closed at $1.11 a share.

Technical Analysis: I was hoping to catch a momentum trade due to the breakouts multiple times. Top % gainers was up to 90%, high volume, low float. Fundamental Analysis: There was no news at all. Result: This stock was halted multiple times. I never saw the halt coming. How the hell did I profit $16.84 on a halted stock? Plan: I need to improve my fundamental analysis. No time for a Curb Your Enthusiasm Marathon. I NEED TO STUDY!
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