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Hello all,
It looks like the market will have a little run into
May- June area and then it looks like we may be in for
a fall. Additionally there a preponderance of
overbought sectors- sentiment indicators also show
more bullishness.
My question is this. How would traders on the list
look to profit on shorting the market indices S&P and
Nasdaq?
There are many vehicles QQQ, futures, rydex short
funds. There are also a number of option strategies
that could be employed here. I am specifically
interested in stimulating discussion on which
strategies have the best possible risk-reward for
placing such a directional bet.
I know it's a broad question but I am interested in
how traders on this list would approach this.
Thanks in advance,
Marc
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