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I took the loss

15 straight green trsdes & $Tesla(TSLA.US)$ green at open got greedy, in at 88, went to 134, thought about taking profit at 125, rode it down, bought more at 40, and sold at 35, accepting the loss.
as the $SPDR S&P 500 ETF(SPY.US)$ moved past 384, i said 385 was coming soon, and cut my losses.
i was bullish on monday and Tuesday, with $Palantir(PLTR.US)$ and $Affirm Holdings(AFRM.US)$ calls, those keep crushing it.
so my mistake which i journaled already, hold on longer when positions are going my direction and cut the losers quicker, i could have exited TSLA at 70 as it was dropping to 40 and than 26, but i was stubborn
with that said please join me at 8:30 tomorrow morning to talk strategy for Thursday and to discuss GDP numbers which will be released at 8:30
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