US Equities
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We made over 1k+ with HG n GC shorts in live session
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Market is choppy through out night for SPX, we have a strong resistance at top, still holding all Bear calls
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40% on bear calls, take gains
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40% on 7770/7780 Bear calls, Take gains
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20% on 7750/7760 Bear calls, Take gains, we can enter again after News event
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Even though I am still Bearish, avoiding risk before a major News event. High risk takers can trim 80% n hold free runners.
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Huge drop on SPX, ES, NQ, SPY
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DIA Bear calls will make 100% from yesterday. Nearly 80% on remaining SPX Bear calls from overnight for the High risk traders. As we took only close to $300 on a 10 point spread (7770/7780 Bear calls), we took gains (or trimmed 80%) without taking any risk. We will make many more gains today. 95% of our last 80 SPX, SPY and QQQ made nice gains.
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SPX Levels - Bull Trap, some bounce initially for 10-15 mintues and then drop for first 60-90 minutes
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TSLA Bearish, Sell on Rally
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MSFT, Sell the Rally
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SPY, sell the rally
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NVDA, buy the dips
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AMZN, Buy the dips
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Take gains, 1 trade good enough
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Bull trap with SPX, First 5-10 minutes take up and then bring it down big
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7732 target for SPX, It will not break 7760 today
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QQQ is bullish but SPY, IWM and DIA are Bearish today
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Nice drop on DOCU, Take gains
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DOCU dropped big post earnings at 3pm cst, again bounced yesterday evening and again dropped big this morning. Overall another Earnings win. We will win 80% of Earnings trades with low risk. Take small size for Earnings as they come with high risk