QBL in @ 53 - out @ 53.
Buy/sell was swinging, was looking ugly, of course it pumps seconds after my sell. Weak!
ESE in @ 2.3c - Hodling
"ESE is going down the path of MZN.. Tread careful.. look for an entry"
........
"Oh yeah, 2.3c looks safe for a 1 pip bounce". Nek minit:
*~14M shares dump to 2c... *
"Oh cool no worries, 2.4c looks alright, big volumes coming in"
.......
"Doesn't look promising I'll just break even at 23"
*Another 14M shares sell down*
"okay... Let's try 22........... 21...... 20......... "
MAY in @ 1.4c - Hodling
Volume. Up-trend. Speculation. Big dollars. Yadda yadda, it's a gamble I don't need to justify it . Small parcel. Targeting 1.7c
Both SCU and POP were on my radar today pre-open as I pointed out in the morning thread. Felt weird buying at such a gap up on such low volume, I assumed these would both sell-down on open.
I'm not sure how one can rationalise either of them as being a "good entry" at opening price, I would like to know how people here have done so if they bought on open.
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QBL in @ 53 - out @ 53. Buy/sell was swinging, was looking ugly,...
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