Trading from phone while working, bad idea since I can't see Tape or Level 2. Saw a bear flag on 5/15 min, risk being 280.50 area. Did not get quick follow through, first sign to cut. Broke risk, but held now with moved risk to PML area, and saw it wasn't being pushed on high VOL. Came back down and sold for small gain. Could have sold for 40+, but held for more and it bounced again.
Bought 1 contract EOD on Friday, anticipating gap down. Didn't get it, but added when it looked weak. Bounced on me, held risk. Sold off in chunks when it came down hard. Held 1 contract overnight again, hoping for continuation. Did not get it and got out to prevent it becoming a loser.
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