Moist Mango (@moistmangoi2) 's Twitter Profile
Moist Mango

@moistmangoi2

Stocks options crypto futures. Day + Swing. Full time trader since 2014. Blew up end of 2016 pulled low 8 figs since. PnL posts for a few followers then value

ID: 1150741003

linkhttp://kinfo.com/p/MoistMango12 calendar_today05-02-2013 11:46:34

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Since I posted some winning trades. Here's an embarrassing one. All shorts and no damage done, just embarrassing. Had right original plan/read but sometimes you just can't execute

Since I posted some winning trades. Here's an embarrassing one. All shorts and no damage done, just embarrassing. Had right original plan/read but sometimes you just can't execute
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~+105k on TSLA. Had meant to turn the TSLA options trade into a spread by eod but turned into a day trade when it worked so well and met target. Included charts this time

~+105k on TSLA. Had meant to turn the TSLA options trade into a spread by eod but turned into a day trade when it worked so well and met target. Included charts this time
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IRBT +$32,300. Decent trade, was pretty close to stopping me out near the open. Not super happy with the exits, but overall pretty decent. Felt that it could make a multiday move, but with a trend break near target sizing down made a tonne of sense

IRBT +$32,300. Decent trade, was pretty close to stopping me out near the open. Not super happy with the exits, but overall pretty decent. Felt that it could make a multiday move, but with a trend break near target sizing down made a tonne of sense
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IRBT and LFST this week both good opps on the gap down but context matters behind setups. Similar price action on daily - daily downtrend, gap down on news, shit companies. Where they differ is in the details. IRBT: (1) Real news, potential bk without buyout (2) Lower short

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I didn't make as much as I should have on LFST. Partly because I had Friday off so couldn't swing it, but also because of liquidity restrictions and I waited until the open (a mistake in hindsight). On IRBT day 1 I got it pretty bang on, and this reasoning was why I sold so

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Made a few mistakes today. Was an intense morning with some big pnl swings and then these unforced errors later. SMCI had planned to hold overnight, so early sale was a big mistake. DWAC I came in short, flipped long aggressively (which was good), but then got faked out on the

Made a few mistakes today. Was an intense morning with some big pnl swings and then these unforced errors later. SMCI had planned to hold overnight, so early sale was a big mistake. DWAC I came in short, flipped long aggressively (which was good), but then got faked out on the
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+346k on the semis short today. Pretty sure I'm about to leave 500k on the table here but after round tripping 100-150k twice couldn't handle not covering. Chart attached is best approximation for my execution (since it was across multiple instruments).

+346k on the semis short today. Pretty sure I'm about to leave 500k on the table here but after round tripping 100-150k twice couldn't handle not covering. Chart attached is best approximation for my execution (since it was across multiple instruments).
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+27k on NYCB. Would have actually hit this harder through the daily level if not for the other distractions today. Joined trend later after confirmed heaviness. Have covered half and willing to take the overnight news risk on other half.

+27k on NYCB. Would have actually hit this harder through the daily level if not for the other distractions today. Joined trend later after confirmed heaviness. Have covered half and willing to take the overnight news risk on other half.
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+38k MGIH. Just a simple breakout in environment where breakouts are working. Had some odd fills after it topped which was annoying but overall solid.

+38k MGIH. Just a simple breakout in environment where breakouts are working. Had some odd fills after it topped which was annoying but overall solid.
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+135k on ARM. Didn't get any new followers from my ARM entries post, so need that clickbait 😂Here's the chart with my entries and exits including midday short. Didn't attempt the parabolic short, which was a mistake as it was quite clean, but also didn't want to force. Could

+135k on ARM. Didn't get any new followers from my ARM entries post, so need that clickbait 😂Here's the chart with my entries and exits including midday short. Didn't attempt the parabolic short, which was a mistake as it was quite clean, but also didn't want to force.
Could
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-232k on HOLO today. Kind of odd one. Was short overnight and just kind of ignored all day for no good reason. Figured today it was a long on the red to green move, but took a small papercut trying that yesterday, so ignored it today. No chart, not much to learn from this one,

-232k on HOLO today. 
Kind of odd one. Was short overnight and just kind of ignored all day for no good reason. Figured today it was a long on the red to green move, but took a small papercut trying that yesterday, so ignored it today. No chart, not much to learn from this one,
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In line with this thesis I had added into my BTC long and got better size which I was happy with. I hit it out after the CPI print, which saved me about 1k of volatility, and at the time I figured it would give me a chance to rebuy through 50k if that's what happened Did manage

In line with this thesis I had added into my BTC long and got better size which I was happy with. I hit it out after the CPI print, which saved me about 1k of volatility, and at the time I figured it would give me a chance to rebuy through 50k if that's what happened

Did manage
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TSLA on it's first assault of $1000. Gained 200% over the course of 2 months, as one of the largest stocks in the market. Three things I wanted to point out: (1) A two day consolidation resulted in a "gap and go" despite already being overextended. (2) The gap up parabolic day

TSLA on it's first assault of $1000. Gained 200% over the course of 2 months, as one of the largest stocks in the market. Three things I wanted to point out:
(1) A two day consolidation resulted in a "gap and go" despite already being overextended.
(2) The gap up parabolic day
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I missed the semis short and round tripped the months pnl the last two days getting chopped up long and short. Which was frustrating since I was long biased after key area holds and it went up. But here's the deal, if you want to be a good trader you've gotta own your mistakes

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I will be assisting 20 of my followers with there trading journey this year,like this post and send a dm done ✔️ if you are interested