Stop-loss strategy misfired on DDD and XONE, 45 and 42 respectively. They never went far below my stops (based on 200 day MA and my entry prices), and now they are both heading back up. The 30% short interest in both of these stocks has me concerned. I will get back in when they correct appreciably.
TVIX hit stop of 3.01 today. This stop (based on NAV and entry price) worked as planned, locking in a 1000d profit.
I'm still holding IRBT and TINY, 1000 shares and 7000 shares respectively.
Market is still subject of a major correction I think.
Happy Father's Day.
Disclosure: I am long IRBT, TINY.