Im staying put. Just wish I had flipped my long account today. Was going to flip it all...
1- Storage at all time high. 2- Entering Hot weather CDD season 3- Last projected injection week 4- Exports if not at all time high will/should be. (Mexico etc) 5- Production down to stable 5 yr avg
Why is the price going down in these areas. Seems like a real strong concerted effort to scares longs out of there positions. If not, we are missing data that we've overlooked!