hard to write the summary for today, still holding all shorts.
DT a few long positions to offset the losses.
Sold all DAL, still have chance to buy back on Tuesday I hope. Sold 3000 UCO 12.53. Sold 1500 FSLR 48.60, still hold 2500.
bought back 1400 MACY's. bought 3000 BAC, bought 1200 JPM to add to existing 300. bought 2000 WEAT for the first time, prepare for food shortage in the near future :-)
Since last few days didn't render enough excitement, this 3 days long waitng period will not feel so bad as before. Bad becomes good, hope my positions will be the same.
on Tuesday, if market goes up again in the morning, will sold all my long positions. but I will wait till thursday to decide if I should add to my short positions.