According to that chart, buying the close and selling the open has been a losing proposition since the beginning of the year. So to say it has been outperforming since the crisis started is misleading. In the long run, it is actually underperforming, and is what NOT to do.
Buy the close, sell the open outperforming since getting roughed up during the panic.
You need to learn to read and to think a
And over the long term, it is the best strategy:



