CME_MINI:ES1!   S&P 500 E-mini Futures
Fed whipsaw. Market selling off but futures are already oversold so whipsawing a lot. MFI is rising, and gap direction tomorrow will depends on unemployment numbers.

Took a loss and bailed out of my long positions, shorting TUR because US market is already oversold. The way I see it, I;ve got 23 days for Turkey to tank again.

I'm surprised the market tanked TBH.
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Garbage stock short squeeze is still on, PTON is going up, small caps still not tanking. Guessing tomorrow is gonna be a mixed bag much like last week when garbage stocks went green with teh market dropping.

Unfortunately I'm not a big fan of garbage stocks....
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I think they pump unemployment numbers tomorrow because they need to get rid of the oversold condition somehow.... not to mention squeeze shorts.

Tomorrow is a complete crap shoot though. News trumps indicators.
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Went long on stocks, 401k only. No long options, too much whipsaw.
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Sometimes it helps to sort your list by % change for the day....

Biggest movers up were all garbage stocks today, lol.
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Futures up on NVDA and ETSY earnings.

Gap direction is alll about unemployment numbers, if it gaps down we probably bounce again anyways.
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I've got the market heading up tomorrow, not sure about Friday.

One day at a time.
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BTW, the market gave up the Powell pump already, I said that had to happen.

Village idiot.
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Futures will more than likely stay green until the unemployment claims numbers come out tomorrow morning (8:30am long with GDP), then it'll explode up or down, lol. No point in watching futures tonight.
Trade closed manually:
I'm out. Broke even for the week, that's good enough since I'm taking tomorrow off and heading out of town.

I actually made the right calls this week, but played the wrong stocks. It happens.
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Wow, didn't expect the market to tank after I sold, lol. Should've bought puts, was busy with other stuff. Will post an update.
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