After, actually "near" the end of the last decline (wave 3 if I'm not wrong) I bought QLD.
Then I saw them falling further and swinging everywhere. After Oracle numbers I thought we were off, and bounce would be in play. They gave up almost all gains to found support 2040 apparently.
So at the end it came together. I sold big part eod. With RIMM I expect 1 to 2% rice before next fall.
But as usually I 'm too early.
Do you think a false brakeout to fall deep or are you anticipating strange moves for the last week?