
Total AssetsBought a few calls on 0424

I'm always bullish on this market (sharing is time-weighted, so it looks like more).
So no matter how much I lose, I can hold until I break even and make a profit.
Although I missed out on this big wave.
But with options over a hundred days out, there's room for error.
Doubling this by year-end feels like no big problem, at the very least.
If there's no loss these past two days, sharing it should be 290%. Ah, whatever. Anyway, at most in two weeks, I'll earn it back and even earn more.
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