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The worst might be behind us, lately I also traded SOXL and SOXS for quick scalps or as a hedge while still holding NVDA long-term. Wild volatility means tons of opportunities and risks, im extremely happy about the rebound. I've sold half of my SOXL to lock in some gains, letting the rest ride for a bit. Overall, feels like odds are leaning more bullish than bearish at this point, what do you think and whatβs your strat?
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I think the market is still volatile and too early to call it bullish. Buy only if you have a long term horizon 5 years outlook.
I have taken this time to purchase some great companies at depressed price. I have a long term outlook and will tranche in my purchase as the market falls further. I have bought Meta and NVDA in the last 2 weeks.
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Yes.....
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Hope it continues like this