Keep in mind next cab of the rank on a macro scale is USA interest rate rise in December which hurt the market big time for 2 months. There was ownward pressure on most stocks held except xpe and a milk stock where all traders jumped on. Therefore consider about having high levels of exposure and be ready to let go of small losses in December as they could be magnified. It may or may not happen but look at 9-11 months ago as an example all imo
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