This felt like a “SCALP”…
- Run up from premarket into open..
- Allow it run, pullbkack, find support and buy into the dip.
- it did find support in the .28s (held multiple times).
- Afternoon LULL, for the most parts, it’s NOT pleasant.
- Exit strategy was risk off support and sell into the low to mid .30’s.. Making my usual 8-12% thereabout..
- when in doubt, EXIT… and thats what I did, price action wasn’t convincing enough so I left with a +4% ROI…