Updated the assets that we trade. I am expecting some sort of correction from here and i think the trigger will be PCE report today. I am kinda in wait and see mode... I do have some positions but they are not big. FTM is doing quite good and i am happy with it. I might short later APT because structure looks like its done for now. If i am wrong no issues, we'll wait for next opportunities. I had sat and watched everything go but i know there will be a pullback because markets are not liniear and this is definitely not a bullrun. If we will get a soft landing or hard landing its very hard to predict and we are data dependant moving forwards. As always i think risk management is the key to strive in this business so do not be reckless trying to short with big pos into strength. Take smaller wins and losses but they will compound.
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