So it all comes down to the "System" was right again.
Signalled everyone to short when it broke below the 50 sma late yesterday.
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Used it today! hesitant because of the report today! I know the document for the system says be careful on days like today! But still came away with a $100 is it best to not play on days where fed speaks, job reports or still play just manage more and go in with less contracts
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Portfolio "only" up 6% today because I chose to grab 1DTE's yesterday and didn't want to risk it going higher or trading flat at open. Getting close to being able to do this full-time because of you.
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Going through your slides again and trying to brush up on it but have a question. Have you adjusted the timeframe you look at for the buy/sell signals?
The 10 day, 30 min with the 10 and 50 day SMA or can you adjust that to 5, 10, or 15 min candles for shorter term moves?
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