Caught the earnings runup. Took profits before the IV crush.
Caught the earnings runup. Took profits before the IV crush.
Stopped out on the rejection at 250. Risk management > ego.
Held through the dip. Long-term thesis intact.
Breakout above the 50DMA with volume. Trimmed half at +5%, rest on a trailing stop.
Wrong call on the rotation. Cut it before it doubled down on me.