What's next? More of the same or a strong move? We've had 3-4 strong moves with the net result being zero.
So, modifying the longer term strategy to accommodate the chopiness, and so I have initiated LONG & SHORT positions at 1930 and 1820. Use the blue cone to protect these positions rather than S/T signals. Hold positions until 1 week prior to expiration and roll out accordingly.
If the picture becomes clearer, then we may need to morph the positions into a directional position.
