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If you’re asking me Kyle, I first brought in back in March 2017...

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    If you’re asking me Kyle, I first brought in back in March 2017 and lost a bit and got bored and moved on.

    I brought back in later than I should have around mid December again as I was focused on the AI, MMJ and graphene sectors mid to late last year and should have had more foresight to buy in September/October as the sector was growing in interest.

    Such is and plays are missed everyday, we just get a bit better everyday seeing where things are heading with experience and knowledge.

    And did I sell on the high, nope! Am I annoyed not at all.

    Hey it’s always better to sell on the high or sell half on a double and free carry or just sell and take profits and wait for the pull back/retrace/fill the gap, whatever’s going on and I agree and normally I do or at least try to because its smart and protecting your capital and there’s no better feeling than nailing a trade and coming out with a larger position or extra coin or free carry.

    Except massive positions at low costs with limited risk involved, nothing beats that.

    It’s kinda like lions nail their pray 1 in 20 with all that running around and stress and the leopard just sits and waits and has a strike of around 7 out of 10.

    Each to their own and each ticker requires a different play. The main thing is having the balls to put your decision and money on the line and stand by it and have a go and not just go to work and listen to the news and let someone else manage your super. Be in control of your life because you’re the one living it.
 
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