Closed all positions since I don't want to hold the short positions overnight, the market have the potential for a possible bounce(it could do a 40-60 points) during night, my 2 long setups stopped out intraday so really dont need to take more risks, all cash
Notes:
2.25: Last 2/3 of UPS at 93.94 for a + 10%
2.24: 1/3 of UPS at 98.63 for a +5.2% profit. Capturing some profits here, as the market is in a very uncertain place. Whether the dip buyers step in, or the bears keep this sell-off going. I want to tighten the ratio of long and short positions in the portfolio.
2.7: Short setup triggered at 104.08