0.2361120.6785
1.02450.0
Total Profits:
-$3,864.09
$15 Profit
ALURLong Stock
Chris_TurnsUp

Entry date Feb 23, 2026: Bought 150 shares of ALUR for $1.53. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 1.1x float rotation, 5.92M float, former spiker. Goal was .40¢ spike. Risk/reward was 1:2, .20¢ downside .40¢ upside. Exit date Feb 23, 2026: Sold 150 shares of ALUR for $1.63. Gave it time, couldn’t keep pushing, got out for a small gain, was near the open, when in doubt get out!

000

Broker:ETrade
$32 Profit
NCILong Stock
Chris_TurnsUp

Entry date Feb 18, 2026: Bought 60 shares of NCI for $3.52. Day 3 surge play, bought when it broke the psychological $3.50 level below the $3.68 52W high, momentum mover, 0.55x float rotation, 1.08M float, former spiker. Goal was $1 spike. Risk/reward was 1:2, .50¢ downside $1 upside. Exit date Feb 18, 2026: Sold 60 shares of NCI for $4.06. Spiked beautifully, volume was low, big volume didn’t come in when it broke 52W high, sold into strength.

000

Broker:ETrade
$19 Profit
BENFLong Stock
Chris_TurnsUp

Entry date Feb 18, 2026: Bought 75 shares of BENF for $4.92. Morning fader play, bought when it double tapped the oracle signal after 9:45am ET, big % gainer, earnings winner, 10.7x float rotation, 933.18K float, former runner, day 1ner. Goal was .40¢ spike. Risk/reward was 1:1, .40¢ downside .40¢ upside. Exit date Feb 18, 2026: Sold 75 shares of BENF for $5.17. Gave it time, spiked, got rejected at the next oracle level, sold, working on being more discipline with price action.

000

Broker:ETrade
$15 Profit
OLBLong Stock
Chris_TurnsUp

Entry date Feb 17, 2026: Bought 300 shares of OLB for $0.86. Morning fader play, bought when it double tapped the oracle signal, big % gainer with news, 19x float rotation, 6.3M float, former runner, day 1ner. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Feb 17, 2026: Sold 300 shares of OLB for $0.91. Gave it time, chopped around, sold for small gain, never hit risk, eventually hit target, have to work on not panic selling.

000

Broker:ETrade
-$51 Loss
CHOWLong Stock
Chris_TurnsUp

Entry date Feb 17, 2026: Bought 300 shares of CHOW for $1.01. $1 cross play, bought when it held $1, daily chart #5 bounce, big % gainer, momentum mover, 2.6x float rotation, 10.64M float, recent IPO, spiker history. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Feb 17, 2026: Sold 300 shares of CHOW for $0.84. Was holding, had a huge red candle, sold ASAP, sketchy Chinese stock, had oracle .91¢ entry, better entry.

000

Broker:ETrade
-$46 Loss
RIMELong Stock
Chris_TurnsUp

Entry date Feb 17, 2026: Bought 100 shares of RIME for $3.75. Morning panic play, bought on a first green candle bounce off an oracle level/Friday HOD, was on a 2 day run, opened green, big % gainer, momentum mover, 7.7x float rotation, 5.7M float, former/current runner. Goal was .60¢ bounce. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Feb 17, 2025: Sold 100 shares of RIME for $3.29. Gave it time, did not bounce, wait for consolidation or double bottom for better confirmation.

000

Broker:ETrade
-$9 Loss
SMXLong Stock
Chris_TurnsUp

Entry date Feb 6, 2026: Bought 15 shares of SMX for $16.50. Afternoon VWAP hold play, bought in AH when it broke strong $16.50 intraday resistance, big % gainer with news, 13.1x float rotation, 2.89M float, former runner, FGD. Goal was $1 spike. Risk/reward was 1:2, .50¢ downside $1 upside. Exit date Feb 6, 2026: Sold 15 shares of SMX for $15.93. Spiked .50¢, gave it time but couldn’t hold, sold near risk level after it broke under VWAP.

000

Broker:ETrade
-$16 Loss
SMXLong Stock
Chris_TurnsUp

Entry date Feb 6, 2026: Bought 15 shares of SMX for $16.98. Trend reversal play, afternoon buy when it broke the descending triangle intraday trend right above VWAP, big % gainer with news, 11.7x float rotation, 2.89M float, former runner, FGD. Goal was $2 spike. Risk/reward was 1:2, $1 downside $2 upside. Exit date Feb 6, 2026: Sold 15 shares of SMX for $15.88. Didn’t hold the trend reversal, sold when it broke down VWAP under the trend line.

000

Broker:ETrade
$9 Profit
GWAVLong Stock
Chris_TurnsUp

Entry date Feb 5, 2026: Bought 100 shares of GWAV for $5.62. RCT play, bought in AH when it hit the top body of the first red 5-min candle, big % gainer with BNC alert, 0.5x float rotation, 735.05K float, former runner. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Feb 5, 2026: Sold 100 shares of GWAV for $5.71. Gave it time, volume was very low, couldn’t squeeze, sold for a puny profit.

000

Broker:ETrade
-$24 Loss
BNAILong Stock
Chris_TurnsUp

Entry date Jan 5, 2026: Bought 15 shares of BNAI for $29.46. #5 FGD bounce play, morning buy on the rip when it broke the HOD after a DNR at the open, gapped up, opened green, big % gainer with new news, 2.2x float rotation, 3.17M float, former/recent runner. Goal was $4 spike. Risk/reward was 1:2, $2 downside $4 upside. Exit date Feb 5, 2026: Sold 15 shares of BNAI for $27.87. Did not hold breakout, sold on a big red candle near my risk, better trend reversal entry.

000

Broker:ETrade
Page
of 98
*Results may not be typical and may vary from person to person. Making money trading stocks takes time, dedication, and hard work. There are inherent risks involved with investing in the stock market, including the loss of your investment. Past performance in the market is not indicative of future results. Any investment is at your own risk. See Terms of Service here.

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.