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BOUGHT SIDU @ 5.02 LOOKING FOR THE MULTI DAY BREKOUT ABOVE PREVIOUS HIGHS OF 5.83 A LOT OF SUPPORT HERE IN THE 5.00 ON THE L2 I COULDNT LET THIS TRADE GO ON WITH OUT ME, AND HAD MY RISK AT $4.80 SO I BOUGHT IT HELD THROUGH BOTH WIP SAW ACTIONS AT THE OPEN NEED TO WORK ON ENTRIES BUT NO ONE IS PERFECT CAUSE I KNOW THAT THIS COULD BREAKOUT AND SQUEEZE SHORTS AND IT DID NICE SOLD TRADE STUCK TO MY GAME PLAN AND I WAS REWARDED

made a solid trade, recognized the setup, yea it was mid day but i couldnt help it, SIDU was holding nicely at the $3.50 area constant restesting resistance which tells me that there is a lot of buying going on (PAC MAN EATING UP ALL THE SELL ORDERS) and is a strong stock so i took a shot executed my game plan and i came out with a win on this mid day breakout, was holding on to it cause it was squeezing and thought it could get passed $4.00 but failed and held around $3.80

BOUGHT NAMM ON THE FIRST GREEN DAY BOUNCE AT $4.50 DUE TO IT HOLDING JUST BELOW RESISTANCE THOUGHT THAT IF I BOUGHT IT AT 4.50 IT WOULD THEN BECOME SUPPORT BUT I WAS TO QUICK ON MY ENTRY NEED TO BE MORE PATIENT BUT I HELD IT ROUND TRIPPED IT TO MY STOP AT 4.30 THE SPREAD IS AWFUL SO IF IT COMES BACK WITH OUT ME OK SO BE IT... CANT BE AFRAID TO TAKE RISKS

bought EVTV at 2.85 it spiked first green day in premarket i was told not to buy if a stock bounces pre market but it had a nice little pull back into the open into 15 min of consolidation of course i buy at the top always do but anyways cant be afraid to play set ups and loose money probably just to early on my entrie need to come down more to bounce but thats ok im learning if it doesnt stay green today than prehaps tomorrow but i stuck to my plan of action

BUYING FIRST GREEN DAY BOUNCE AFTER THE RUN UP PULL BACK DOWN TO 2.78 WHERE I BOUGHT, IDEALLY NOT A GOOD TRADE WILL THE PATTERN WAS THERE 4 TO 5 BUT NO VOLUME AND BIG SPREAD SO I DID THIS TO MYSELF BUT ITS OK I WANTED TO PLAY THE SPIKE AT THE OPEN BUT TELL MYSELF I NEED TO HOLD ON MORE AND LET THE CHART PLAY OUT
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