I'm seeing the DeMARK 13 sequential that completed on AAPL which we talked about. I see a very clean risk reward against the 145 region for a move back up above 170. This is a really great risk-reward opportunity in my view. Again, I would keep the stop really tight between 145 on aggressive size and 140 for a full stop.
So far I am just sitting on the long bonds idea coupled with some AAPL here. Keeping it easy and this seems like there is a decent overlay for these two at the moment.