That's how I'm playing it. The jobless claims were better than expected, that should give a short term boost. I want to see if that holds?
I've got much more long exposure than short-I am building a position in TVIX. I don't plan on holding it forever-just until its green again.
I should have held that silver position in the 2k port longer. AGQ is up a few dollars per share again today. The better priced solars in my watchlist are up in pre-market (FSLR/SOLR/CSIQ/STRI)
Let's make one thing perfectly clear. I've made nearly 992,453
mistakes in my life. It's entirely possible that this post is
991,454.