I'm looking at my charts today for usual supp/res levels and I can't find anything except for dow at 7500.
I have never seen anything this bad, I even had to swith a couple weeks back from trading the NQ and YM to the qqqq and DIA because the volatility is so huge and risk of loss unbelivable. Even on the short side, because of the size of the swings.
I average into all my positions and tend to usally hold 1 to 7 contracts at a time. Not in this market, for me at least.
I am now averaging in with the ETf's, less risk, even though the commisions are 10 times as high though.
I have never seen anything this bad, I even had to swith a couple weeks back from trading the NQ and YM to the qqqq and DIA because the volatility is so huge and risk of loss unbelivable. Even on the short side, because of the size of the swings.
I average into all my positions and tend to usally hold 1 to 7 contracts at a time. Not in this market, for me at least.
I am now averaging in with the ETf's, less risk, even though the commisions are 10 times as high though.