PA_GoGoGo
voted
In the first half of 2025, markets experienced historic downturns and dramatic rebounds. The intense price volatility tested investors' resolve and strategies more than ever before.
Malaysia and U.S. stocks told vastly different stories. Unlike its robust performance in 2024, the Malaysian market underwhelmed in H1, with $FTSE Bursa Malaysia KLCI Index (.KLSE.MY)$ down 5.61% as of July 4, lagging behind major global indices.
The establishme...
Malaysia and U.S. stocks told vastly different stories. Unlike its robust performance in 2024, the Malaysian market underwhelmed in H1, with $FTSE Bursa Malaysia KLCI Index (.KLSE.MY)$ down 5.61% as of July 4, lagging behind major global indices.
The establishme...



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PA_GoGoGo
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Markets roared higher last week as a wave of optimism swept across Wall Street. A de-escalation in Middle East tensions, dovish signals from Fed Chair Powell, and news of a U.S.-China trade agreement all helped power risk-on sentiment. $NASDAQ 100 Index (.NDX.US)$ surged 4.2%, $S&P 500 Index (.SPX.US)$ jumped 3.44%, and $Russell 2000 Index (.RUT.US)$ climbed 3%, with major indices like $Nasdaq Composite Index (.IXIC.US)$, ...



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Last week, took my daughter around London, traveling through several cities; the old mother was truly exhausted.![]()
Just returned to London last night, opened the chart today and saw:
💥 $Tesla (TSLA.US)$ Gapped down with a 5% decrease.
This segment is quite exciting, so let's quickly write a piece and record a review video.
-------------
📉 Actually, last week Ishorted $Tesla (TSLA.US)$ , and now it seems completely correct, but last night, on Monday, I closed most of my positions, switched to next period's Options, and only bought back one-third.
~
$TSLA 250703 300.00P$
$TSLA 250711 300.00P$
But it is because:
• I realized last night that the loss of the Options in hand has increased (from last week to this week).
• The originally opened contract was bought too close, and the position was slightly heavy.
• To control risks, a rational choice was made to change positions + reduce positions.
• As a result, today TSLA gapped up to 300.。
If the position is too light, only relatively much smaller profits will be achieved.
🎯 Waking up to realize that I really regret it.
Clearly, the direction was correct and the structure was understood,
Why didn't I hold on to this big bearish line?
Once I realized this emotion was present, I immediately said to myself:
What you are doing is actually your current 'technique + mindset ...
Just returned to London last night, opened the chart today and saw:
💥 $Tesla (TSLA.US)$ Gapped down with a 5% decrease.
This segment is quite exciting, so let's quickly write a piece and record a review video.
-------------
📉 Actually, last week Ishorted $Tesla (TSLA.US)$ , and now it seems completely correct, but last night, on Monday, I closed most of my positions, switched to next period's Options, and only bought back one-third.
$TSLA 250703 300.00P$
$TSLA 250711 300.00P$
But it is because:
• I realized last night that the loss of the Options in hand has increased (from last week to this week).
• The originally opened contract was bought too close, and the position was slightly heavy.
• To control risks, a rational choice was made to change positions + reduce positions.
• As a result, today TSLA gapped up to 300.。
If the position is too light, only relatively much smaller profits will be achieved.
🎯 Waking up to realize that I really regret it.
Clearly, the direction was correct and the structure was understood,
Why didn't I hold on to this big bearish line?
Once I realized this emotion was present, I immediately said to myself:
What you are doing is actually your current 'technique + mindset ...
Translated

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PA_GoGoGo
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PA_GoGoGo
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$Spotify Technology (SPOT.US)$ $Robinhood (HOOD.US)$ $CoreWeave (CRWV.US)$ Apart from my buy and sell orders being leaked in real-time, I can't think of a second explanation.
Translated



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PA_GoGoGo
reacted to
$Nike (NKE.US)$ Thank you
, Nike. After taking two days off, I made some profit yesterday by buying calls ahead of the earnings report.
, Nike. After taking two days off, I made some profit yesterday by buying calls ahead of the earnings report.

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PA_GoGoGo
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$Nike (NKE.US)$ shit i boufht puts😭
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