Euro-Breakeven

I had my stops for the short Euro at a breakeven point. I got stopped out this morning by two ticks.

Crude Oil-One More Shot

I have buy limits at the 95.91 mark in the December 22 contract. Stop will be at 94.91 with a 110 target. The energy markets look to be starting their next up leg.
Update: I am long. My orders got filled in overnight trading.

Positions Going Into Weekend

STOCKS
Symbol Position Date
Position
Opened
Price
Position
Opened
Week
Closing
Price
Percent
Change
AFG Long 4/6/22 146 146.08 0.1%
CINF Long 3/18/22 130 137.89 5.7%
WMT Long 4/6/22 155 157.41 1.5%
Total Open Profit/Loss Stocks 7.3%
FUTURES
Symbol Position Date
Position
Opened
Price
Position
Opened
Week
Closing
Price
Percent
Change
6E Short 4/5/22 1.0947 1.0903 0.40%
6L Long 3/21/22 0.2 0.2117 5.85%
ZN Short 3/9/22 126.5625 120.13 5.08%
Total Open Profit/Loss Futures 11.3%

Bonds Continue to Dump

I am still short the 10-Year. It has become my most profitable trade of the year so far. I will continue to follow the 14 DMA with the rest of my stops.

I never short the Ultra-Bonds.
It flashed a sell signal Monday, but I didn’t take it.

Short The Euro

The Euro completed a bear flag. I took a small short position in the Euro. Stop is at 1.1017 with a target of 1.07.