5 fives up and resistance at 750 area caused me to go short again. Right now powerful move of the lows so will be taking more profits at channel bottom again but might let some SDS ride a bit longer. I still think gold has more consolidation. I'm guessing short?
Fully out of SKF. I'm a chicken shit. Profits a profit though. Added .3% to PF due to SKF. I'll take it and run.