a certain someone was questing why I sold, so thought I would explain not only to him but other holders as well, I could be completely wrong however and the SP could rise from tomorrow but if that's the case no big deal I will just move on to the next one, if I'm right great.
I was in the options that also carry a lot more risk so more caution and capital protection is necessary than just holding the heads, and each pip lower on the options means I'm losing thousands of dollars. hope all understand. cheers
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