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Week 2: June 28th - July 4th
Finishing up the week we are down again in my portfolio. Today was another great week learning.
Portfolio: 3.73k -> 3.5k = -6.1%
Trades:
Not too much action this week bc I will explain after this section.
But $NOK continued to fall, so I put more money in to bring my avg down to $13.1
Learnings of the week:
I spent a lot of time learning about option trading. I harped on not being glued to watching Nokia move up and down for my own mental, and I’m learning to be more patient and not jumping once again. I panic sold Sofi, and ServiceNow, so I will now just sit on it and wait and trust my research and all their partnerships and positive news
I have never understood option trading until recently. Watched countless videos all week, learned strategies and different ways people setup contracts. I definitely want to get into it in the future.
Still building capital and knowledge along the way, as I wait for my patience to pay off.
Recap:
Happy with where I am, putting more focus into actually learning and growing on X, rather than glued to my Robinhood account all day.
Let’s have another great week!💪
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