Daily setup: nms, high volume reversal of yesterday bar, under 50 and 200 on daily
Entry/play: short after first leg down then rest.
Management: initial stop above pivot. got p/l target, then squeezed stop.
Psychology: ok. Wide option spread, maybe wasn't quite small enough bc that. Plus stock very jumpy. I think I got pretty lucky on the target. Squeezed stop saved me a heart attack even though it went to my ultimate target much later (time decay would have negated that anyway). No regrets.
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