Except for $NVDA short and $RVLT long. You can see how these fared against $SPY this year.
I'm anticipating a breakdown in $NVDA, and maybe some kind of correction in $SPY, which would give us a lot of great opportunities next year, so, for now, I take my modest profits in equities home for the year and let these two running.
I'm in BTCCNY, RVLT, NVDA short, USDSEK, USDTRY, USDNOK, EURUSD short, USDJPY for the time being, and will look to reenter my other positions next year.
Cheers,
Ivan Labrie.
I'm anticipating a breakdown in $NVDA, and maybe some kind of correction in $SPY, which would give us a lot of great opportunities next year, so, for now, I take my modest profits in equities home for the year and let these two running.
I'm in BTCCNY, RVLT, NVDA short, USDSEK, USDTRY, USDNOK, EURUSD short, USDJPY for the time being, and will look to reenter my other positions next year.
Cheers,
Ivan Labrie.
Comment:
(I had closed FX trades yesterday after publishing actually, I didn't update in time)
Trade active:
I'm updating here again, I got back in on $AAPL, $KSS, $PBF, $GM, but holding $NVDA and $NFLX shorts and $TLT and $CEF longs.
Trade closed manually:
I banked $NFLX and $NVDA, and the $CEF, $TLT, positions.