The reasons: 1. Low-risk entry point 2. The stock offers the first buyable base after an IPO 3. Tight pivot level/line of the least resistance 4. High relative strength stock 5. Volume dries up before the breakout, a 1-2 punch.
The flaws: 1. The general market is still in correction 2. Most individual setups I personally trade don't work out well in the last two months
The stock closes good and strong on the breakout. I want to see some constructive action in the upcoming days.
トレード稼働中
I reduced my position into half at -1.8% loss, today.
トレード稼働中
I reduced some positions today at breakeven.
トレード終了: 利益確定目標に到達
I sold my entire position today at a +3.3% gain, resulting in a breakeven on this trade.