It may not actually be bad news, or "not that bad" but the market seems to think it is. It's just painfull to see my gains dwindling, just hoping we recover soon I have/had plans for these funds.
Shorts are covering, and taking profits. Fallen from 9.1% to 7.1%. Options are heavy on the PUT side until November. Then they are turning fairly heavily into the CALL side. Just info. Still appears rocky until November.