Hey Guys,
The S&P 500 is at 5,810 right now, which is a price point it's touched each of the last five trading days. The price has swung above and below that point by as much as 50 points in both directions, but it has seemed almost magnetized back each time.
My EMR stock position reached its time limit, so I manually closed it at the opening bell. That one ended up with a loss. Coupled with my win from the Home Depot trade from yesterday, I'm just a bit above breakeven so far for the week in that stocks account.
I took on some new trades today. In the stocks account, I bought positions for NET and FTNT. Both are companies in the tech sector. In the options account, I bought options for NET.
If you have any questions or feedback, I'd love to hear from you.