The financials are leading the way down as I thought might happen. I’ve covered half of my short UYG position and half my long QID position, both at nice gains. I will either add to my position or cover/sell depending on what the market does later. The strength is in coal, steel,solar,energy and the weakness is tech and financials.

Earnings of interest to me after the close: AMGN, CF, MOS, PFWD

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