@Alfred16 During very strong market phases, I also like to take some profits; otherwise, the high paper gains aren't of much use to me. Besides, ASML is starting to look quite expensive, and it had accounted for a relatively large portion of my portfolio, so I'm doing a minor rebalancing here. However, I still have a solid ASML position.
I understand the decision and am also considering taking the profit. Or should I set a stop-loss at 1,500 euros? I bought at 660. I just don't want to go through another SAP 2.0—it really was traumatic for me.