Could never figure out reset trading either ...
Heavy starbonder like yourself, but I rarely held stocks short pre-release ... long on tentpoles, animated, and the few that peaked my interest, though i would bail (usually late) if market sentiment turned harshly negative ... almost always shorted post-release however ...
One year i hard-played the September selloff and saved about 50 million, but it was much more time and effort than i wanted to spend ...
Averaged about 50 million a month, about 500 to 600 million a year ...
Peaked in July 2013 at #50 LTD (at about 6 billion) ... hovering in the low 60s for the past three years (since reaching 9 billion) ... Didn't "catch" anybody unless they stopped playing ...
Kinda shocked Cantor let it last this long, considering we've been on borrowed time for over a decade ...
... a summary for those unaware ....
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