covered half my 250% short in spy at 346, small loss. I had shorted the entire amount at about 342.
Now just 120% short.
Bought a little crwd, docu, twlo, nvda, and amd. Put 5% of my money into each of them. Near the low of the day, they are all my favorites to own.
spx 3420 later today or as soon as next week very likely before this quick correction is over.
Massive overbought and too much complacency finally brought the quick big drop, now how bad can it get?