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this was definitely a watch throughout the day as i know this spikers and big percent run up and they ADF... but if they consolidate holding point they can have another leg up.. so bought near that area where it is holding.. just before the huge rip into close and a nice gap up.. i told myself no more of that holding for more... i <3 profits.. lock them in.. YASS

3 TRADES IN THIS ONE, first trade bought 200 shares @ 5.80 sold half at 7.8, so i could feel calm holding the other half for another leg up.. well it decided to go down and down, and i got stubborn to cut losses so this trade decided to breakeven.. stupid stupid, greed... but then bought at 4.25 and cut losses at 4.2 as it didnt do shit..

bought this as it was having a nice strong day and people were selling at close.. thought it could run some more so bought this close to its lows, shouldve sold as it double topped.. cut losses as it was going against me... i am trying to practice cutting losses when they go against me but its so damn fucking hard

this was two trades, but profitly is making it 1 trade... so 1st trade was overnight hold at 200 shares @ 4.15 and sold @ 3.00 and 2.80, knew i shouldve sold as it was dropping, stubborn trade.. thinking "its gunna come back" nope! lesson learned! CUT LOSSES SOONER!! 2nd trade was a daytrade, seeing a bullflag pop pattern forming.. but L2 keeps showing sometime of rejection so cut losses

ahhhhhhhhhhh....... gosh man... doesnt make no sense... i thought i seen a bullish flag pattern form.. but didnt go this time! just a small pop and soon enough a washout and got stubborn and didnt cut losses! COMON MAN... thank god i finally couldnt take it no more and did it!! or it wouldve put me in a worse position.. CUT FUCKING LOSSES QUICKLY IF IT DOESNT GO MY WAY!
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