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By the way if you did short the stock you only need 50% margin and would of made just over double the profit with less cost. But then again had you shorted directly 1/2 the position size and therefore reduced your risk you would of risked less, needed only 20 odd g's in margin and made the same profit.


All that ignores that it had a poor R:R


[EDIT] Oh or see SkyQuakes example of CFDs


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