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Entry comments: Short TSLA.
Exit comments: My first margin liquidation ever. BLNK running to all time highs had my Interactive Brokers Account excess liquidity completely stretched to the limit. I'm just trying to hold out for another day or two until the SP500 addition is complete and there is no more reason for limitless optimism on TSLA.

Entry comments: Another SPY short. As mentioned, my overall SPY short position is underwater. I'm not ready to throw in the towel just yet. Market is just ignoring a 2nd wave that's like 3 times worse than the first one. It's goddamn insanity especially with a shaky vaccine that people aren't even going to actually get. Would you get an experimental vaccine that's not even bulletproof with only 2 months of safety testing? I definitely won't.
Exit comments: Didn't want to cover this today, but excess liquidity was low in IB acct, decided I'd rather be short BLNK than SPY.

Tried a short against resistance on the daily chart. It temporarily went past the breakout point, then dipped back down. I took a tiny profit rather than sit on this one overnight. I am reevaluating my practice of holding stocks for the multiday decline ... borrow fees can get up there on the hard to borrow stocks.
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