Low volume on my stocks. Something I'm not that comfortable with. It leads to big movements and if against me really pisses me off. My holdings were moving with the markets and as a result are down. Not worried about them just yet though.
OH account
Only got a partial fill on INOD. Have held this stock for too long, it is not performing so its needs to go bye bye. Still have majority of position. At this rate will take a green day in the markets for me to get out.
Other holding PESI, closed red on the day, but only by a penny. So not worried about it just yet, it is also close to breakever and spent majority of the day in the green. Started day high, may hit my target if it does so again tomorrow.
IB account
Bought VTNR-was a play that super did. He regreted it after, was supposed to be day trade. Thought I got in at a good price but didn't work out. This one followed the market and is underwater right now. Will monitor tomorrow.
Bought IMRS-rich play. Started to get a little spike then fell back. Closed green and will try to keep it until it goes red. May sell before hand if it gets a spike. Was downtrending and now looks like it put a bottom in. Most likely will not look for much out of the trade, but do expect a small gain.
Bought WATT-more or less an overnight play. If it is up big in premarket I may sell when I wake up. Will see, has a history of spiking and is near breakout levels. In around 14.75 and breakout would be 15. Last fill was 14.90 as I type. Will be selling tomorrow. Need to get back on track with a win here.
Didn't end up using a day trade, so I have that option open tomorrow as well. I can look for a play specific to a day trade, not a swing that could get an initial spike.
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