I took the profits on DZZ and short on GDX this morn, but didn't do any PPT w/GE. I knew I'd regret it. Getting ready to pull the plug soon unless the market kicks it up a notch. Even if GE got cut in half my portfolio wouldn't get hit that much so I wasn't losing too much sleep. These days I usually risk far less capital on ST trades.
Lucky or good? Can I have both? GE still in channel (for now).
Dumped almost all of it now. Probably should be more patient.