I own $SQ (-1.56%)
$TTD (+2.05%)
$NOVO B (+0.63%)
$MSTR (-4.21%) and am now 20% to sometimes 45% down on Novo. How do you deal with such losses? I'm wondering whether I should realize the gains in Block, for example, and rather buy shares in which I see more potential and which have just fallen. For example $CSU (+1.47%)
$PLTR (+2.29%)
$HIMS (-2.08%)
$RKLB (-0.71%)
$1810 (+2.26%)
How do you do that? Do you continue to hold on to the shares or do you leave them in your portfolio despite halving your original investment?
