Thanks Shan. It's days like these that I wish I could trade those spreads you guys post. I have dreams, (or they might be nightmares) about those spread charts...
Umm... F. I removed the collar. Staying long considering the price action a day after they announced a loss for Q4.
Some more analysis as i keep on buying 101.72 and going flat 101.90 area hoping it will break 102.10 on VOLUME. It can also break 101.59 area on VOLUME. I try to keep TIME FILTER always in mind. When A up/A down has bigger moves in play, we do not get to choose perfect risk/reward trade. Seems like just robots trading back and forth.
Yep, failed A down this AM, and now another testish early PM. Now it's blasting. Good entry most of the week, but I still just hate this market, (mostly because it's moving without me).
OIL PIT CLOSE. Did get stopped out 4 times today. But one has to keep at CL to bring home some BACON.