1) re-action trade. Vix backwardates...its cover and net short. Low risk anyway you cut it. If i am wrong, buy at lower prices..if I am right then its another fabulous opportunity 🤣🤣 ->break trade.
2) strategic fundamental trade. No infrastructure spend, fiscal stimulus gets cut further...then economy sutters and GDP implodes...its a no brainer low risk short.. sell rallies...can combo..Break short OCO sell limits,