Picked up $VRT and $TER today.
On watch for tomorrow $GOOGL $TSLA $INTC. If market is weak I will size down or not trade at all.
If tomorrow closes red below $724, I’d get extra careful for my longs.
Weekly developing.
$QQQ $TSLA
Picked up $VRT and $TER today.
On watch for tomorrow $GOOGL $TSLA $INTC. If market is weak I will size down or not trade at all.
If tomorrow closes red below $724, I’d get extra careful for my longs.
Weekly developing.
$QQQ $TSLA
Establish a no trade zone. Where you don’t trade at all but only sync in the information you may see something that you weren’t.
Not adding size, not taking small bets. Not getting information of X. Just seeing price action.
Perhaps the first 30 mins atleast.
After 6 months of slowdown. April was buying time, adding size. 2 months of strong market, I’m going to take profits in over extending semis, or ones that look tired. Ideally want to wait a few months of consolidation and than add back with size. $QQQ $SPY