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The System made like 2 bad trades in the last 6 months. They both came before the CPI report. I think we learned something. That sometimes there's a market event that is so meaningful to the market and it can not be detected in advance by the system. Need to keep that in mind.
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Let's see how the system is doing? 1) My bad for not predicting the big rally after the CPI report. In Hindsight I was much too defensive before that report especially with Gas prices plunging and started in cash that day and miss the first rally. My biggest mistake of 2022?
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