This started as my best week ever and turned to my worst ever. I made a shameful streak of mistakes the last four trading days: sold CRGO at 0.016 just before it went to 2 cents; sold HISC for a loss at 0.061 just before it ran to a dime; bought PLNI at HOD of 0.0176 just before it took a dive; sold CNCN for a loss; sold BCIT for a loss on its dip at 0.0022; bought and quickly sold MMIC for a loss; sold EPYH at a loss; bought ITGJ at 0.0013 just before it tanked; and to top it all off I had to go and buy on top of a huge bubble at the end, that is, BIDU. And if that's not bad enough, I have a accumulated a large amount of brokerage fees. Man I am so numb right now. Have any of you made such a large number of mistakes within four consecutive trading days?
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