Hey Guys,
The market didn't seem very happy to end the day yesterday, but it rebounded nicely today. The S&P 500 is around 6,070 right now.
I have a mixed bag of positions right now. Some of the ones that got into a hole early have rebounded, but I'm still not seeing a lot of green in my portfolio right now. My positions from the Financial sector are hurting (stock position for ALL and option positions for WFC and PNC).
I'm not too wound up about any open positions because, as always, I'm just going to stick to the plan regardless. So drumming up emotions about open positions might be a waste of emotional energy since it's not going to affect my action plan anyway.
I've only taken on one new trade so far today. I bought a position for MGA in the stocks account.
If you have any questions or feedback, I'd love to hear from you.