Apoloies for the clapping graphic but the last 10 days have been cr*p
Today wipes it all out and and puts me on target
Heavy trading session since FOMC - the pop didn't seem right - closed out my hedge at a nice profit and added to a daily option short and it worked - but I left a lot of money on the table on profit taking as I was more concerned with rebalancing my last weeks losses.
WS - any thoughts on the psychology of how you cope with this type of experience?
Looking at the last series of my trades made thru this type of event I would not be surprised to see a bounceback tomorrow - I will be treading carefully.