
Entry date Dec 11, 2025: Bought 100 shares of MIGI for $11.13. Panic dip buy play, afternoon re-buy when it bounced off of VWAP, big % gainer, day 2 momentum mover, 62.4x float rotation, 846.01K float, former/current runner. Goal was $1 bounce. Risk/reward was 1:2, .50¢ downside $1 upside. Exit date Dec 11, 2025: Sold 100 shares of MIGI for $7.40. Got halted on the way down, BNC reported a dilution, kept holding after it resumed, hoped for a bounce, huge lost, very undisciplined trade.

Entry date Dec 11, 2025: Bought 50 shares of MIGI for $12.09. Dip buy play, afternoon buy when it bounced off of whole dollar/strong intraday $12 support, big % gainer, day 2 momentum mover, 59.1x float rotation, 846.01K float, former/current runner. Goal was $2 bounce. Risk/reward was 1:2, $1 downside $2 upside. Exit date Dec 11, 2025: Sold 50 shares of MIGI for $12.21. Bounced, gave it time, was struggling to continue, sold on a pullback for tiny profits, kept going down.
Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.





