Biggest loss day of the year. Had a very nice run since April and never really hit any rock until today. Used too much size and got stubborn and overstayed and paid the price. XPEV-perfect cut each try but too obsessed with it so losses added up. BLNK-when Citron hit I should just covered all but I held majority of shares and wanted lower. Gave back and more. DPW-holding above VWAP the entire time why am I so stubborn of holding it given the market sentiment. BLNK and DPW are unnecessary losses!!!!
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