Daily setup: volume gap above downtrend
Entry/play: New high after pivot low
Management: Trail stop. I didn't tighten near top, and I didn't leave it loose enough to survive.
Psychology: Bummed. I was "right" but got scared of big red volume bars. I think this is a case of the small chance I'll get suckered by doing the right thing. I'm going to eat these sometimes.
Popular Posts
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Since ath April 7, I've had a string of losses. I reverted to old bad habits to try to dig out of the hole, of course making it worse. ...
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As of 3:50pm, market is getting slaughtered. Down ~3.5% The market looked good for starters. I tried LI long (seems silly now!) above the lo...

