Before the trade
I am building my phisical valume to be stronger psihologicaly to. I is hard to watch how portfolio geting smoller and smaller
after the pullback price will go up to at least 5 to 6 dollars
because the price is out of range and pullback is on a way
After the trade
I recognize the trend and I play according to it. It is also play "filling the gap"
that you should more carefuly decide where you put the stop orders