to a green Friday.😉
I made some changes to my portfolio yesterday and added to a few positions and bought a few new derivatives as I was expecting a counter-reaction.
I also sold the put on the S&P once with a 55% profit, but I can imagine trading it again.
I have small amounts in these stocks in my long-term portfolio $HIMS (-4.49%) , $GOOGL (-2.85%), $AMZN (-3.07%) and $MAIN (-0.95%) invested in these stocks.
I have invested the derivatives in $CEG (-1.4%) , $APP (-2.69%) , $ANET (-2.15%) and $AXON (+0.58%) . These have repeatedly turned at certain levels in the last few days in the weak market environment. I have therefore chosen the KO thresholds approx. 10% lower. These 4 investments are all very short-term. The target is 25-30%. Due to the leverage, 1-2 good days are enough.
I wish everyone green portfolios today. Good luck.