Another good day today - felt slower than usual; pot stocks woke up late in the day however I was just scalping them for peanuts as my fills were crap;
Finding lately that my of win/lose ratio has increased rather dramatically which is great.
+$1500ish day today.
Gappers: 6/7 +$150
$ICNV .58 for gapper +$10
$LATF .083 for gapper +$104
$ECOB insane to gap it, but it worked for whoever gapped $REVO +$117
$GLCO .03 for gapper +$251
$SPLI .021 for gapper +$93
$BECC .78 for gapper +$125
$GANK 1.15 for gapper -$150 weak open then it made n52s
Swings: 3/4 +$296
$FWDG .011
$MDRM .044 +$117 have some left$IDTA .0016
$IEEC .12
$BLLZ .012
$CDZI may $5 calls 2.50
$BFCF 2.98 +$2
$ECIG 100 shares 15.5 -$52
$TAMG .37 +$229
$AGSM .38
Longs: 12/14 +$905
$SYMX looks grindy here 2.10 risk 2.30 target; argh need to remember to buy the damn dips
-$50
$LQMT .22 on news +$233
$IZEA +$45 partial fill on n52s
$MNGA .875 +$15
$GALE nice alert on iu chat on this perk
+$52
$PHOT +$115
$GYST +$50
$MJNA .30 +$16
$HEMP +$45
$LATF +$30
$TRTC .50 +$10
$AVTC +$10
$CBIS.18 -$108
$ERBB .0279 +$150 moved just too fast, maybe buy back on a dip if one comes;
$TAMG .49 gapper
$TRTC .50
$ENDO .11 gapper
$GRNH .50 gapper
$XTRM .033
$MDBX 30
Shorts: 7/9 +$210
$YOD $6 risk
+$23 only got partial fill
$CRME parabolics arent my forte yet so only took 100 shares at 10.75 covered 10.52
+$20
$CRME shorted again on the lower lows
if it break prior top at 10.75 i'm out
BAM +$105
$OPTT making lower highs yet lower lows 4.75 risk
then this happened: either shorts covered or whatever it was 50k buy and it pushes to 4.75, i shorted a bit more
covered all at 4.67 where it seemed to have solid support at 4.65-6 (for now) for +$50
$OPTT emotions got the better of me and jumped in after it broke support even though i had very little buffer in case it broke back over support ... and it did, then went r/g so i covered -$150 at least the cover was good - it bounced another 10c from there
$SYMX looks ready to curl, 2.18 risk 2 target
+$75
$SYMX again; now looks like it's going to fade. 2.10 risk, will try to be patient with it
covered some here; if bounces off support i'm out
- it did +$75
$OMAG +$31 on 100 shares ...
$SYMX again , this time 500 shares so i can be patient with it; could test that intraday support and fade into the close -$10 was making higher lows
+$23 only got partial fill
$CRME parabolics arent my forte yet so only took 100 shares at 10.75 covered 10.52
+$20
$CRME shorted again on the lower lows
if it break prior top at 10.75 i'm out
BAM +$105
$OPTT making lower highs yet lower lows 4.75 risk
then this happened: either shorts covered or whatever it was 50k buy and it pushes to 4.75, i shorted a bit more
covered all at 4.67 where it seemed to have solid support at 4.65-6 (for now) for +$50
$OPTT emotions got the better of me and jumped in after it broke support even though i had very little buffer in case it broke back over support ... and it did, then went r/g so i covered -$150 at least the cover was good - it bounced another 10c from there
$SYMX looks ready to curl, 2.18 risk 2 target
+$75
$SYMX again; now looks like it's going to fade. 2.10 risk, will try to be patient with it
covered some here; if bounces off support i'm out
- it did +$75
$OMAG +$31 on 100 shares ...
$SYMX again , this time 500 shares so i can be patient with it; could test that intraday support and fade into the close -$10 was making higher lows



















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