PlanTradePlanMM

MARK Long

Long
NASDAQ:MARK   None
Demand Zone -- not confirmed
RSI Divergence
OBV>OBV34 (my scripts: OBV and OBV SMA comparison)

Entry 1.58
Stop 1.3
Target 3.4

Risk management is much more important than a good entry point.
The max Risk of each plan should be less than 1% of an account.
I am not a PRO trader. I trade option to test my trading plan with small cost.
Trade active:
BuyToOpen (BTO) OCT C1.5/5 limit 0.43x5
Delta 0.49
No Stop in this OP trade;
MAX RRR 6:1
Trade closed: stop reached:
option expired. 100% loss.
Trade active:
Near the Oct calls expired, I bought 2022 Apr C1.5 0.3x7
today, price is 2.17, and after market price is still going up.
Plan to sell some call next Monday.
Trade active:
Target reached.
Sell Apr C5 2.28x6, big winner already.
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