LOL -
have a position in GROW. And you betcha I'll be selling, or at the very least, thinning, even if it 'looks' perfect for tomorrow.
I think my strategy will be to be VERY cautious right now. IF I go long on anything, I'll sell at close/last hour if anything looks fishy in the slightest bit. I'll look at the S&P also to check my equity vs 'the market' to see any divergence. I'll thin any positions, even if they look great into the close. Don't really see a situation whereby I'll hold a full position overnight right now.
Right now, I'm thinking capital preservation. Another train will be along tomorrow/next week.....