After enjoying a return of over 10% in August, September looks a little leaner.
The reason for this was #fomo
More precisely, the investment in two warrants, 15x long $AMZN (+2 %) and 10x long #micron at very unfavorable times. I was plagued by the feeling that I was going to miss the boat. As a result, I lost almost 2.5% of my portfolio value.
And I also suffered other losses $SRL (-2,11 %) (-19%), $3350 (-2,69 %) (-22%) and $PFSE (+1,11 %) (-22%).
However, the positive side of the coin should not go unmentioned:
+55% for $OPEN (+8,51 %) , +45% for $BITF (-4,93 %) , +55% for $AVGO (-1,84 %) and I was pleased with 11% for $4GLD (-0,22 %) (my largest position).
What do I learn from this? Well, probably less than I should (!?). I'm not putting my hand in the fire that I won't encounter such events in the future. But I will at least try to act less impulsively. After all, impulsiveness has already brought me a few gold pieces :)
Let's see what the #uptober has in store for me. I'm curious.
