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The Paper Trading Journal

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Tag: risk management

  • SOFI Trade Review: A Valid Setup Undone by Bad Execution

    SOFI Trade Review: A Valid Setup Undone by Bad Execution

    April 29, 2026
  • GM Trade Review: How Oversizing Turned a Manageable Trade Into a Psychological Blowup

    GM Trade Review: How Oversizing Turned a Manageable Trade Into a Psychological Blowup

    April 28, 2026
  • SPOT Trade Review: An A-Rated Post-Earnings Momentum Short That Delivered 5.8%

    SPOT Trade Review: An A-Rated Post-Earnings Momentum Short That Delivered 5.8%

    April 28, 2026
  • DPZ Trade Review – Why B-Setups Can Still Be Traded

    DPZ Trade Review – Why B-Setups Can Still Be Traded

    April 27, 2026
  • INTC Trade Review – How to blow $1K+ on an A+ setup

    INTC Trade Review – How to blow $1K+ on an A+ setup

    April 27, 2026
  • Why Traders Lose With 50% Win Rates – Risk-Reward Ratio Statistics (2026)

    Why Traders Lose With 50% Win Rates – Risk-Reward Ratio Statistics (2026)

    April 7, 2026
  • Trading in the Zone by Mark Douglas – Review

    Trading in the Zone by Mark Douglas – Review

    February 2, 2026
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The Paper Trading Journal

295+ documented trade reviews, case studies, research articles, and trading statistics — NO courses, Discords, or fake guru hype.

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Not Financial Advice Disclaimer: The content on this website is for educational and informational purposes only and should not be considered financial or investment advice. Trading stocks and other financial instruments involves risk, and past performance is not indicative of future results. Always conduct your own research or consult with a qualified financial professional before making any investment decisions.

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