0.2361120.6785
1.02450.0
Total Profits:
-$3,820.04
$28 Profit
RMSGLong Stock
Chris_TurnsUp

Entry date Apr 20, 2026: Bought 100 shares of RMSG for $3.37. Day 3 surge, bought when it double tapped the $3.36 squeeze point, 0.47x float rotation, 5.3M float, former/current runner, Goal was .80¢ spike. Risk/reward was 1:2, .40¢ downside .80¢ upside. Exit date Apr 20, 2026: Sold 100 shares of RMSG for $3.65. Gave it time, spiked, couldn’t flip M/R, sold as volume was diminishing.

000

Broker:ETrade
-$28 Loss
ARTLLong Stock
Chris_TurnsUp

Entry date Apr 20, 2026: Bought 50 shares of ARTL for $7.13. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 23.4x float rotation, 863.7K float, former spiker. Goal was $2 spike. Risk reward was 1:2, $1 downside $2 upside. Exit date Apr 20, 2026: Sold 50 shares of ARTL for $6.58. Spiked, double tapped at M/R, gave it some time, broke trend line, sold when it broke down VWAP, should have sold sooner.

000

Broker:ETrade
$15 Profit
RMSGLong Stock
Chris_TurnsUp

Entry date Apr 17, 2026: Bought 100 shares of RMSG for $3.01. Day 3 surge play, morning buy when it broke the $3 key level, 0.28x float rotation, 5.3M float, former/current runner. Goal was .60¢ spike. Risk reward was 1:2, .30¢ downside .60¢ upside. Exit date Apr 17, 2026: Sold 100 shares of RMSG for $3.16. Spiked, gave it time, couldn’t flip the M/R level, sold for small profits.

000

Broker:ETrade
$41 Profit
EFOILong Stock
Chris_TurnsUp

Entry date Apr 17, 2026: Bought 60 shares of EFOI for $4.50. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 4.1x float rotation, 2.66M float, former spiker. Goal was $1 spike. Risk/reward was 1:2, .50¢ downside $1 upside. Exit date Apr 17, 2026: Sold 60 shares of EFOI for $5.19. Nice spike, sold into strength near the open, buy in pre sell in pre.

000

Broker:ETrade
$19 Profit
MYSELong Stock
Chris_TurnsUp

Entry date Apr 17, 2026: Bought 100 shares of MYSE for $3.98. Pivot point cross play, bought in pre-market when is crossed the pivot/whole $4 key resistance level, day 2, big % gainer with new news, 2.6x float rotation, 3.84M float, former/current runner. Goal was .60¢ spike. Risk/reward was 1:2, .30¢ downside .60¢ upside. Exit date Apr 17, 2026: Sold 100 shares of MYSE for $4.17. Gave it some time, couldn’t really squeeze, sold for small gains, can’t be stubborn and hold.

000

Broker:ETrade
-$18 Loss
SNALLong Stock
Chris_TurnsUp

Entry date Apr 17, 2026: Bought 300 shares of SNAL for $0.98. $1 cross play, bought right below $1 in pre-market when it was spiking with momentum, had news in AH yesterday, 0.22x float rotation, 36.34M float, former/current runner. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Apr 17, 2026: Sold 300 shares of SNAL for $0.92. Did not hit $1, M/R right above it, dumb impulsive trade, no need to trade like that, only causes random losses.

000

Broker:ETrade
$0 Loss
SNALLong Stock
Chris_TurnsUp

Entry date Apr 16, 2026: Bought 300 shares of SNAL for $1.01. $1 cross play, re-bought in AH when it double tapped the $1 level, BNC new news alert, 0.38x float rotation, 36.34M float, former/recent runner. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Apr 16, 2026: Sold 300 shares of SNAL for $1.01. Gave it time, couldn’t push above the $1.07 M/R, sold for breakeven, should sell sooner when key levels aren’t working.

000

Broker:ETrade
-$27 Loss
SNALLong Stock
Chris_TurnsUp

Entry date Apr 16, 2026: Bought 300 shares of SNAL for $1.01. $1 cross play, bought in AH when it crossed the $1 level, BNC new news alert, 0.35x float rotation, 36.34M float, former/recent runner. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Apr 16, 2026: Sold 300 shares of SNAL for $0.92. Gave it some time, didn’t work, cut losses, better to wait for a double tap for entry.

000

Broker:ETrade
$10 Profit
CAPSLong Stock
Chris_TurnsUp

Entry date Apr 16, 2026: Bought 200 shares of CAPS for $1.05. RCT play, bought in pre-market when it hit the top body of the first red 5-min candle, big % gainer with news, 8x float rotation, 3.71M float, former spiker. Goal was .30¢ spike. Risk/reward was 1:2, .15¢ downside .30¢ upside. Exit date Apr 16, 2026: Sold 200 shares of CAPS for $1.10. Gave it time, couldn’t flip M/R, sold for small profits, when in doubt get out.

000

Broker:ETrade
$12 Profit
SNALLong Stock
Chris_TurnsUp

Entry date Apr 14, 2026: Bought 300 shares of SNAL for $0.85. Morning fader play, bought when it double tapped the oracle signal, big % gainer, momentum mover, 5.5x float rotation, 36.34M float, former runner, day 1ner. Goal was .20¢ spike. Risk/reward was 1:2, .10¢ downside .20¢ upside. Exit date Apr 14, 2026: Sold 300 shares of SNAL for $0.89. Gave it time, spiked nicely, had big pullback, sold for small profits, kept spiking, sometimes I have to let it ride.

000

Broker:ETrade
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*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.