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This week, I bought back some NVDL and opened positions in AMD (because AMD has launched the MI300, which is said to be comparable to the H100 or even H200. I personally think there is a higher possibility of a positive financial report for AMD). I also opened positions in energy and gold. The AI sector is expected to enter a sideways consolidation phase next. If the overall market does not fall, funds will flow into major sectors for catch-up gains. The mistakes in options trading during this cycle resulted in a significant profit retracement, which is definitely frustrating. It's really difficult to not let emotions affect trading. I will review the week over the weekend and start anew next week.
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$Super Micro Computer (SMCI.US)$ I emptied it at 1020 and have been holding back without selling. I don't know where it will fall.
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$NVIDIA (NVDA.US)$ Big brother, it's not good to stay up there. Come down first, then go up behind, be good.
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$Estee Lauder (EL.US)$ After a lapse of half a month, 103.25 bought some more and tried again. There was no profit from this stock, not dead
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$Estee Lauder (EL.US)$ I tried it, but didn't feel anything.
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$Super Micro Computer (SMCI.US)$ I sold everything last week, and then went all in on petroleum stocks
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First-quarter monthly income breakdown👇
Overall yield curve👇
First quarter trading win rate and top five winners👇
SMCI has had two trades, with the main riding stage position size at 12-13%, currently with no position.
NVDA is a trade, mainly riding phase position size: 11-12%, currently no position.
KOLD is a trade, mainly riding phase position size about 3%, currently no position.
CVNA is a trade, mainly riding phase position about 3%, currently holding the remaining 1/3 of the position.
META is a trade, mainly riding phase position: 8-9%, currently holding the remaining 3/4 position.
It is worth noting that both KOLD and CVNA hold small positions of around 3%, but achieve significant returns, demonstrating the significant impact of psychological advantage on trading. Similar low-risk trading returns have profound implications for account growth ❤️.
Despite some trading errors in the first quarter, relying on trading systems, psychological aspects, and the advantage of avoiding noise, the account still has a decent positive growth.
System Advantages:
The probability of winning trades X average profit of winning trades > Probability of losing trades X average loss of losing trades.
Out of 4 variables, only the "average loss of failed trades" has the strongest controllability, which is also the foundation of a successful trading system;
Psychological advantages:
The impact on the "average profit of winning trades" is the most important, with details mainly focusing on protecting profits from advantageous trades that have already been made and riding safely for longer...
Overall yield curve👇
First quarter trading win rate and top five winners👇
SMCI has had two trades, with the main riding stage position size at 12-13%, currently with no position.
NVDA is a trade, mainly riding phase position size: 11-12%, currently no position.
KOLD is a trade, mainly riding phase position size about 3%, currently no position.
CVNA is a trade, mainly riding phase position about 3%, currently holding the remaining 1/3 of the position.
META is a trade, mainly riding phase position: 8-9%, currently holding the remaining 3/4 position.
It is worth noting that both KOLD and CVNA hold small positions of around 3%, but achieve significant returns, demonstrating the significant impact of psychological advantage on trading. Similar low-risk trading returns have profound implications for account growth ❤️.
Despite some trading errors in the first quarter, relying on trading systems, psychological aspects, and the advantage of avoiding noise, the account still has a decent positive growth.
System Advantages:
The probability of winning trades X average profit of winning trades > Probability of losing trades X average loss of losing trades.
Out of 4 variables, only the "average loss of failed trades" has the strongest controllability, which is also the foundation of a successful trading system;
Psychological advantages:
The impact on the "average profit of winning trades" is the most important, with details mainly focusing on protecting profits from advantageous trades that have already been made and riding safely for longer...
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It has been a few days since I last shared, cleared the nvdl and other callbacks, bought a long call on Google. This week, mainly participated in selling puts on djt, realizing that when volatility is high, selling puts is basically profitable and risk-free because volatility will not remain high forever. Even if the stock price falls, we can still make money. Therefore, this strategy is relatively stable. Looking back on this quarter, I made a lot of profit, but also suffered a lot of losses. After learning many strategies and engaging in a lot of short-term actual combat, I discovered that offense is not the most important, defense is. The most important skill for a mature trader should be the ability to control capital drawdown. I am no longer pursuing multiplying returns by how many times in a year, but relying on the accumulated data and practical experience to make good decisions each time to achieve long-term, relatively stable compound interest and accumulate capital.
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SL99 : Did you buy it? Buy it and earn it