My biggest investment mistake so far: On 1.4.2022 I boldly jumped into the $QQQ3 (+2,12 %) (3x Nasdaq 100). Without stop loss na logo. Yolo. Msw suitable action. In the meantime it looks like I could get away with a black eye. On the day with +/- 0 I will make three xxx.
What annoys me: path dependence and negative interest rate ensured that I am still 25% in the red. And that although the flight level of 01.04.2022 in the unlevered course is already reached again.
Instead of great Nvidia successes, here is a place for shame: Which zombie do you still have in your portfolio with a bitter loss, where you long for a day +/- zero?