Quote from emg:
filled. breakeven at 1099.00. moving profit target to 1100.00
Quote from austinp:
just to be clear: you are now 3x (300%) normal position short with the market currently -8 index points (-24 points average profit at +1pt x 3 trades) against you?
what's your risk manage plan if the ES slips to 1080 or 1060 straight from here?
Quote from tortoise:
These are great questions. Having said that, absent genuine (adverse) news, the odds of the 2nd day gap going unfilled -- on opex, no less -- are pretty low.