There are macro issues at play here many don't acknowledge. The market has been focused mainly on big Tech, FAANG, AI and NVDA stock. Small caps high risk are nowhere on most radar. The volume and level II tell the story day in day out. Barely a 100 bid/ask premarket with a huge spread and even those are probably MM placed because it looks so bad.
Frustrated is an understatement.
Fear is, the bottom falls out of the market when the Fed can't continue to pump anymore.