APPY Stopped out of nearly total positions with an average loss <12%>. Oh well now to wait and see what shakes out, I owned this one all over the place but it simply triggered my stops.
Overall portfolio had realized NET loses today, due to stop outs of <.8%>, after selling some profits. My cash position has increased a lot as a result.
Now to wait for more volatility, and probably more stops triggering as I am resetting some stops a bit tighter, to conserve profits and liquidity. Luckily I took most profits last week except for a couple today.
Oh well that is Vegas for ya.
BOL
T2M