
Microsoft 340 still couldn't reach it as expected. Yesterday I thought the odds of winning were high, but I still restrained myself from going all-in with full leverage. Today's task for myself is to not make any moves. Just leave the controlled risk for the deep V of storage.
I think the logic these past few days is still simple. Storage is still in an upward trend, and I feel the pullback isn't deep enough. These days are just mid-year portfolio adjustments, no need to overanalyze. If it falls more, just add a bit.
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