This has been fasinating to watch and read all your experiences on CP.
Although it looks like I may have missed out on all the fun, I'm curious how people have determined their exit positions during all of this action? In these cases where people are playing on the gamma squeezes and short squeezes, is there any fundamental or technical analysis that is done to determine exit strategies? Or is it mainly a matter of putting money down and randomly setting a sell price (i.e. looking for 50% gain)?
I'm a fairly novice investor that has historically put the vast majority of my portfolio towards 'set it and forget it' strategies (dollar-cost-averaging on index ETFs), but occasionally put a bit of money into higher risks stocks for some fun - this past week has looked so fun and I'm kicking myself for not jumping in sooner!
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