"pessimista em $W: evite — pausas e volatilidade impedem capturar o ganho."
W staged a dramatic intraday recovery after trading down hard, but the tape still looks like a “big roller coaster” with lots of halts. I’m not interested in taking it because I don’t expect to reliably extract the 40–50 cents/share upside I require for bigger sizing.
"What would you do?"