I've liquidated my positions for now. The portfolio has pulled back almost 20 points in the last couple of days. I recklessly added options, bet on the wrong sector, and stubbornly held on. Last week, I sold off $Marvell Tech(MRVL.US)$Credo Tech(CRDO.US) avgo, which I had held for a long time, and kept $Rocket Lab(RKLB.US)$AST SpaceMobile(ASTS.US)$Direxion Daily TSLA Bull 2X Shares(TSLL.US). This week went from profit to loss. Watching others holding semiconductors get rich is really tough to take. Just woke up, want to start over. The liquidated account can still maintain a break-even status for now. I don't want this account to just keep trying to break even again; I still want to continue the path to doubling. It's really a relief not to see the numbers jump around after liquidation. The remaining less than $1k in options can't be moved now, will check again next week.

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