Right now Im holding:
Nvda 1600
Tesla 470
Envx 1000
Grab 4000
Pdi 500
Achr 1500
Rklb 1210
Pltr 100
Sold everything in my Margin account and added another 500 shares of Nvda.
Sitting on $447K in cash.
I should have stayed cash heavy and limited how often I made any buys.
I ended up going way to heavy in Nvda, especially options. Their earnings were a bust.
Between Nvda diving and the whole market slumping, I went from about $1.1M down to maybe $675K. In a 6 weeks, or so.
I sold most of my Nvda and Tsla off.
Then on 4/4 I went back in. Especially Palantir options when pltr went to $74.
I made a lot of purchases on 4/4 and the few days after.
I just happened to time the bottom almost perfectly and Ive been on a great run since then.
Added a lot of Hood and Hims.
Made some other option plays I sold quick for 50%+ gains.
Now, Im at $1.16M.