YTD 39% doesn't look so bad after all.
I will have to sell a share soon $VUL (-3,72%) because it is overweighted.
I'm still annoyed $PLTR (-1,66%) not to have bought at <10 but I was there at $ENR (+1,33%) was there at the right moment :)
Overall, I plan to clear out a bit by the end of the year and increase my cash allocation for now.
Any opinions?