I made a stupid mistake today: I shorted bonds at 121'285. It is refusing to move down so I can get out. I did the trade just for a quick profit, but the damn thing moved straight up immediately after I made my trade. By the time I prepared the stop loss/take profit orders, it was at 122'05. When will this thing go down if any? Should I take my loss, and move on?
If the US credit situation were that bad, how come they are buying the bonds?
If the US credit situation were that bad, how come they are buying the bonds?