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Interesting, i've never used anything like that myself.


I'm largely going off:

1) Div (Likely to fall in short to mid term)

2) Negative sentiment around banks. I also feel that the RC is a charade.

3) Bounce in short term, think that selling is a little over done. (Dow futures up as I speak)...but if it turns to ****, I'll just hold / ignore for the next 5 lol


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