Well I've been in cash on my S&P trade since I sold yesterday and took my profit yesterday.
I missed the 34 point bounce.
I'm still in cash.
I didn't want to chase because of margin calls.
If the s&p trades below 4300.
I see that as weakness.
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I shorted the bounce with puts when it showed weakness after open. SPY couldn’t even test its pre market high, it kept rejecting at the resistance right before pm high.
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