Traded mostly great stocks (SPWR, AMSC, MEE, FWLT) and one weak trade (V); my timing was AWFUL. Took smaller profits when could've had thousands. Got burned early on a loose stop and set my subsequent stops too tight.
Later found 200 shares of CLF in my account from Friday (partial fill on a cancelled order; I had NO idea!). This provided a $400 bonus to soften today's blow. (Good thing I didn't find it this morning when it was trading around $98; I woulda had a cow.)
Holding STRA overnight as it remained rangebound close to where I bought it.
Later found 200 shares of CLF in my account from Friday (partial fill on a cancelled order; I had NO idea!). This provided a $400 bonus to soften today's blow. (Good thing I didn't find it this morning when it was trading around $98; I woulda had a cow.)
Holding STRA overnight as it remained rangebound close to where I bought it.
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