JSPR-regret I didn't take the trade because I let fear hold me back. near two days ago resistance point so got scared. but given no catalyst, no news, HTB, the move must be due to 2-day margin call. it's good risk vs reward to short anticipate previous high breakout fakeout. But didn't pull the trigger.
when SSR is on pullback is the key!!! this one is extremenly hard to fill with good size with good risk/reward ratio. with good size I have to accept getting squeezed because when it starts dumping there is no way to get filled. this is the play I hate the most usually.
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