In all seriousness, this morning was like trading thru one entire week's worth of normal market action. I left about the same amount of unrealized gains on the table as what got taken.
Exited way too soon on everything, entered a bit late on some. For example, I just closed ES short 1407 at 1405, current print 1402.25 as I type.
Wild, wild, wild volatility. It'll abate pretty soon, but we'll see much more of this in 2007 and beyond. The days of decade's low VIX are numbered.
ER trades top column, ES trades lower column