Here we go :). ES target still 2014.
Yesterdays rally was all fluff designed to take out the shorts. I bet we'll see 20's before the day is over.
Exited all positions this morning. Short again on this gift bounce. Shorting the Russell because it will fall harder. ES target 2014 (measured...
ES target 2015. I'm short indexes and long volatility.
Agreed... ES sucks lately. I am in a process of switching over to the TF. The ES currently accounts for only about 10% of all my transactions.
Exit UVXY 22.09 +.77 (trailing stop hit)
Scratched TZA due to bad entry price and also the TF hitting support at 1162. Exit TZA 13.78 +.09 Exit 1/2 UVXY 23 +1.68
Here we go :).
Failed. Next stop 28 area.
Expecting a pullback to 2010 area. Averaged into short Russell & long volatility swing trades: L TZA 13.69 avg L UVXY 21.32 avg
+1 I am willing to take it back if he comes up with the screenshot.
149 points to be exact, based on his entry at 1962. We never heard from him since, so it's safe to assume he took a loss on this trade.
I strongly doubt he held through 150 point "pullback". That would be insane even for a swing trader.
Mother of all short squeezes... Glad I didn't go short after the FED bullshit selloff :).
This is why having a defined max daily loss is a must... Took a few of trades today, got stopped on all of them, hit my 10 tick daily loss limit,...
Looks like we retested the lows. Swing trades: Long TNA 54.60 Long SVXY 61.41
Now that's more like BTFD worth taking :).
Long??? Wishing you luck, you're gonna need it.
93.25... 9 point drop in 3 min WOW!!!
Printing 95... Black Monday???
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