H1 2025 has been a roller-coaster for me. I opened the year with a gain of around USD 75000 in unrealised profits. Then came Trump with his tariff bombs and saw the portfolio dip to a loss of USD 60000. Had to just grit & bear it and stick to conviction picks, keep the focus on and not panic & start restructuring the portfolio as and when required. Now I again see a gain of USD 65000. So, basically 2025 taught me a few lessons (1) stick to quality (2) don't panic and make decisions (3) on days when thr noise is maximum shut down the app & sleep (4) book profits regularly & reenter if required to save the gains. This point is something I am still to master. But life is all about learning and, God willing, I will learn doing this too.
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